Asset allocation model of sustainable investment vehicles across equities and fixed income
ABOUT THIS PORTFOLIO
Investors deserve options that align with their personal values. Our Sustainable Multi-Asset model portfolios seek to maximize investment returns with special consideration given to certain environmental, social and governance (ESG) factors – all tailored to specific risk objectives. The team incorporates both strategic and dynamic asset allocation to gain exposure to equities and fixed income securities through proprietary and non-proprietary ETFs, both active and passive.
Active matters: The team relies on the fundamental security selection of the underlying fund managers in addition to their expertise in ESG investment principles.
Dynamic and strategic: Our multi-asset investment team draws on detailed market and macroeconomic analysis and research to create a diversified and risk-aware portfolio.
Sustainable building blocks: Janus Henderson’s commitment to sustainable investing spans three decades and is still evolving. Our research-driven equity and fixed income funds allocate capital to companies that we identify as supportive of positive change while seeking to avoid those that could compromise a sustainable future.
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