Stripey crop fields

Multi-asset funds

Our multi-asset funds provide financial advisers with a broad level of diversification across asset classes

£89 billion

Assets Under Management*

*Source: LGIM internal data as at 30 June 2024. Includes assets from associates and is based on managed AUM, including £1.5bn from multi-asset strategies.

Why LGIM for multi-asset?

Our Asset Allocation team’s expertise includes economists, investment strategists and fund managers. They constantly monitor market cycles and the mix of their portfolios, combining robust risk mitigation strategies and active asset allocation to manage investments during times of market stress. Our scale and in-house expertise enables us to keep our funds simple, cost-effective and always focused on improving client outcomes.

Man looking at laptop

Our latest views on markets and investment strategy

LGIM's multi-asset investment approach

We look to provide investors with a broad level of diversification across asset classes. Our investment solutions aim to meet clients’ objectives, whether it’s higher growth or income, or maintaining an investor’s risk profile. Our investment philosophy rests on improving client outcomes through a number of ways.

Key risk: It should be noted that diversification is no guarantee against a loss in a declining market

 

Icon of a person

Client-driven focus

Icon of a hand holding coins

Cost-effective construction

Icon of a chart

Long-term perspective

Icon of 3 people connected in a circle

Team-based approach

Multi-asset strategies

We offer several types of multi-asset funds that aim to meet different investor risk-return objectives via the investment approach most suitable for them. This ranges from index-based to third-party multi-manager funds, from risk-targeted to target return strategies.

Multi-index 10 year anniversary

Multi-Index

Our Multi-Index funds are dynamically managed, risk-targeted solutions, designed to target investors’ specific risk profiles. Using index building blocks means that fund managers can achieve wide-ranging diversification while ensuring low costs and fair pricing.

Elephants image

Our Model Portfolio Service

Bringing together our award winning multi-asset capabilities and leading index expertise for a cost-effective and scalable offering. Navigate our service with the help of our interactive tools. Check out our MPS navigator and select a strategy, risk profiler and model portfolio to create a bespoke investment illustration tailored for your client.

Crashing waves viewed from above

Multi-asset Target Return

Our multi-asset target return fund accesses complementary sources of return including market returns, alternative strategies and tactical opportunities across a broad range of asset classes.

Large tree in sunlight

Multi-Manager

Our Multi-Manager funds – a mix of in-house funds and those from external providers – offer investors the potential for capital growth and/or income over the long term and broad diversification.

Lots of pebbles in a blue light

Mixed Investment

Our Mixed Investment funds aim to meet either growth or income client needs, with a choice of higher and lower risk options and with clearly defined equity exposure boundaries.

 

Multi-asset strategies

We offer several types of multi-asset funds that aim to meet different investor risk-return objectives via the investment approach most suitable for them. This ranges from index-based to third-party multi-manager funds, from risk-targeted to target return strategies.

Recommended content for you

Get in touch

Woman talking on phone

Get in touch

If you would like any further information please complete the contact us form. 

Key risks

The value of any investment and any income taken from it is not guaranteed and can go down as well as up, and investors may get back less than the amount originally invested. The risks associated with each fund or investment strategy should be read and understood before making any investment decisions. Further information on the risks of investing is available from LGIM’s Fund Centres.

While LGIM has integrated Environmental, Social, and Governance (ESG) considerations into its investment decision-making and stewardship practices, this does not guarantee the achievement of responsible investing goals within funds that do not include specific ESG goals within their objectives.