- The multi-manager approach allows us to select different fund managers for different geographical areas and asset classes within each Assetmaster Fund. Quite simply, by spreading investment over different managers, countries & sectors risk is reduced.
- For the professional adviser, multi-manager products are increasingly the solution to satisfy investors’ requirements in a regulatory environment where, in the pursuit of investor protection, advisers are being encouraged to delegate investment decisions to asset management specialists. The multi-manager option removes the burden of individual fund manager selection, asset allocation and administration from the financial adviser.