Our Capabilities

Multi-asset

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Diverse opportunities drive consistency

Different asset classes respond differently to changes in the economic and business cycle, hence the investment returns from individual asset classes can vary significantly over time and differ markedly from those of other asset classes. By investing in a mix of assets and actively reviewing and changing our portfolios, in order to participate in investment opportunities while minimising volatility, we aim to deliver a smoother investment experience for investors.

  1. Potential to receive attractive levels of growth and/or income with less volatility than equities.
  2. Active allocation of risk, when managed efficiently, can provide investors with more return per unit of risk
  3. Uncorrelated sources of return can deliver important diversification benefits compared to single asset class portfolios
  4. Provides investors with an effective, ‘one stop shop’ investment solution.
20 July 2021

Andrea Carzana & Natalia Luna

Portfolio Manager & Senior Thematic Investment Analyst, Responsible Investment

EU’s ‘Fit for 55’ strengthens sustainable outcomes focus

The European Commission has unveiled its Fit for 55 roadmap setting out the transformation to deliver the European Union’s 2030 target of reducing net greenhouse gas emissions by at least 55% by 2030.
Read time - 5 min
20 July 2021

Daisuke Nomoto

Portfolio Manager, Japanese Equities

Japan: Olympic host’s equity market is uniquely positioned

With the Tokyo Olympics scheduled to take place later this month, all eyes will be on Japan this summer.
Read time - 5 min
17 June 2021

Pauline Grange

Portfolio Manager, Global Equities

Fashion eyes sustainability via the circular economy

The textiles industry is one of the most pollutive in the world, emitting more CO2 than aviation and shipping combined. But a leading sports firm is showing one way the sector can embrace radical change
Read time - 4 min
15 June 2021

Pauline Grange & Jess Williams

Portfolio Manager, Global Equities & Portfolio Analyst, Responsible Investment

Global Sustainable Outcomes - News & Views Q1 2021

This issue looks at inflation and the growing conversation around it as it begins to rise across the world, and looks at sustainability within fashion using a visit to London’s flagship Adidas store to look at how brands are tackling the industry’s carbon footprint.
Read time - 12 min
28 May 2021

Toby Nangle

Global Head of Asset Allocation & Head of Multi-Asset, EMEA

Asset allocation update: standing pat

Maya Bhandari looks at how the team has managed its asset allocations over the past couple of months and where they believe the best risk-adjusted returns will come from.
Read time - 6 min
20 May 2021

Andrea Carzana

Portfolio Manager

Sustainable aviation fuel is ready for take-off

The aviation sector consumes around 8% of all oil. How realistic are attempts to reduce emissions through the use of sustainable aviation fuel?
Read time - 3 min

Our multi-asset range

Threadneedle (Lux) Euro Dynamic Real Return Fund

Multi-asset real return portfolios aim to deliver consistent, sustainable risk-adjusted returns irrespective of the investment environment. This combination of positive long-term capital growth potential with lower volatility and protection against inflation lies behind the appeal of multi-asset real return funds.

A field of flowers

Threadneedle (Lux) Global Multi-Asset Income Fund

With a focus on diversification, multi-asset income portfolios can combine the right blend of income-generating assets to provide a strong and sustainable level of income, as well as preserve and grow capital, irrespective of the global macro environment.

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About us

Millions of people around the world rely on Columbia Threadneedle Investments to manage their money. We look after investments for individual investors, financial advisers and wealth managers, as well as insurance firms, pension funds and other institutions.

Our funds

Columbia Threadneedle Investments has a comprehensive range of investment funds catering for a broad range of objectives.

Our capabilities

We offer a broad range of actively managed investment strategies and solutions covering global, regional and domestic markets and asset classes.