Paul O'Connor heads up our award winning Multi-Asset Team. The relationship between risk and reward is central to the team’s thinking.
They are responsible for managing portfolios comprised of different asset classes, usually via investment in third party funds and investment vehicles but in some cases through direct holdings. Over the years, they have honed their skills in following asset classes, using a combination of proprietary models that digest and interpret market, economic, and technical data. This is then overlaid with their own qualitative views on the markets and their assessment of funds and external managers.
The strategy seeks to deliver attractive long-term risk-adjusted returns in excess of UK CPI + 3% per annum.
Our Diversified Strategy Fund is an actively managed multi-asset portfolio designed to deliver equity-like returns over the medium term with lower volatility than equities.