The multi-asset fund invests in a range of global asset classes to generate long-term income and capital growth with less volatility.
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The multi-asset fund invests in a range of global asset classes to generate long-term income and capital growth with less volatility.
The strategies are Nordea Asset Management’s first retail registered funds in Asia Pacific and include diverse asset classes.
The new SICAV fund is modelled on Aviva’s existing global equity income strategy.
The three funds are all classified as article 8 under the EU SFDR.
The alternative asset management group has partnered with brokerage firm UOB-Kay Hian on the new strategy
The firm will also rebrand its Wrise wealth management services for UHNWIs to Wrise Private in Singapore, Hong Kong and Dubai.
The Rs3bn India Equity Fund 1 is Julius Baer’s maiden India alternative investment fund.
The Future of Food and Farming strategy includes seed capital from Temasek.
The Cayman-domiciled fund is the successor to the Korea-domiciled Align Partners Fund I.
The New Zealand private wealth investment firm has formed a strategic partnership with J.P. Morgan Asset Management to bring new products and services to local investors.
Part of the Mark Allen Group.