Our portfolios are built for moments like this. Diversification across asset classes, regions, and sectors provides resilience when any single shock dominates the headlines.
Our Anchor and Cycle investment process aims to harvest attractive risk premia while leaning into favourable economic growth and earnings fundamentals. This, coupled with scenario analysis, ensures we do not make knee-jerk responses to events, however significant they appear in the moment.
How we’re responding
We continue to observe and plan. Our deliberate addition of gold earlier this year alongside broader diversification, is working as intended in a time of market volatility.
Our investment convictions have not changed, but we are monitoring developments closely — particularly anything that could have a lasting impact on energy supply, inflation, or global growth. We will keep you informed should that assessment change.