A market neutral approach can generate uncorrelated returns and reduce portfolio risk, according to Jupiter Asset Management’s Amadeo Alentorn.
![](https://s34456.pcdn.co/wp-content/uploads/2023/12/Amadeo-Alentorn_RGB3-640x360.jpg.optimal.jpg)
A market neutral approach can generate uncorrelated returns and reduce portfolio risk, according to Jupiter Asset Management’s Amadeo Alentorn.
Part of the Mark Allen Group.