Our Capabilities

Multi-asset

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Diverse opportunities drive consistency

Different asset classes respond differently to changes in the economic and business cycle, hence the investment returns from individual asset classes can vary significantly over time and differ markedly from those of other asset classes. By investing in a mix of assets and actively reviewing and changing our portfolios, in order to participate in investment opportunities while minimising volatility, we aim to deliver a smoother investment experience for investors.

  1. Potential to receive attractive levels of growth and/or income with less volatility than equities.
  2. Active allocation of risk, when managed efficiently, can provide investors with more return per unit of risk
  3. Uncorrelated sources of return can deliver important diversification benefits compared to single asset class portfolios
  4. Provides investors with an effective, ‘one stop shop’ investment solution.
18 January 2022

Nicolas Janvier

Head of US Equities, EMEA

Paul DiGiacomo

Head of Equity Research

Benedikt Blomberg

Portfolio Manager

US equities: three themes to watch in a discriminating year

In a market where there will be a wide disparity between winning and losing stocks, only intensive research will uncover the likely winners.
Read time - 3 min
17 January 2022

William Davies

Global Chief Investment Officer

Investment Outlook 2022 with William Davies

Deputy Global CIO and CIO EMEA, William Davies, talks about what the coming year might bring for companies, markets and fiscal policy.
Watch time - 12 min
17 January 2022

Dara White

Global Head of Emerging Market Equities

Emerging market equities: identifying the key long-term trend

As we enter 2022 we can expect robust fundamentals to serve as a key tailwind for emerging markets.
Read time - 2 min
7 January 2022

Investment team updates - Bullet points 7 January 2022

Latest news from around the investment desks.
Read time - 3 min
22 December 2021

William Davies

Global Chief Investment Officer

Outlook 2022: a year of considerable change

Deputy Global CIO and CIO EMEA, William Davies, talks about what the coming year might bring for companies, markets and fiscal policy.
Listen time - 18 min
20 December 2021

Richard Colwell

Head of UK Equities

Less bezzle, more sparkle in the UK!

In 2021, investing in UK equities began to feel a little less lonely. The FTSE 100 index rose by more than 10% for the year by early December and UK companies resumed dividend payments after the pandemic-induced economic freeze in early 2020 when all hope seemed extinguished.
Read time - 4 min

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About us

Millions of people around the world rely on Columbia Threadneedle Investments to manage their money. We look after investments for individual investors, financial advisers and wealth managers, as well as insurance firms, pension funds and other institutions.

Our funds

Columbia Threadneedle Investments has a comprehensive range of investment funds catering for a broad range of objectives.

Our capabilities

We offer a broad range of actively managed investment strategies and solutions covering global, regional and domestic markets and asset classes.