Region:
UK
Edition:
MPS Allocators
- 2025 Q4

Our global multi-asset approach remains overweight in equities in aggregate, with a value style in Europe, Japan, Emerging Markets, and the UK. We are also focusing on both Growth and Value styles within the US as well as investing across the full market cap spectrum in our equity allocation. In Fixed Income, we maintain a barbell approach, balancing long-duration government debt with short-duration corporate credit to navigate varying market conditions and manage interest rate risk. To enhance portfolio diversification and resilience, we integrate alternative assets, including infrastructure, gold, and defined return strategies, providing potential protection against volatility while capturing diverse income sources. This multi-faceted approach aims to optimise returns across different market cycles, balancing growth potential with defensive qualities.

Explore the different Outlooks

Ajith Balan Nair
Chris Ainscough
Chris Robinson
Dan Appleby
David Hood
Dr Bevan Blair
Edward Lloyd
Eren Osman
James Burns
Julian Menges
Liam Goodbrand
Matthew Hinman
Matthew Strachan
Phil Wellington
Raj Manon
Raymond Backreedy
Richard Bonnor-Moris
Robert Hale
Ross McKnight
Saftar Sarwar
Simon Doherty
Stacey Ash
Tertius Bonnin
Thomas Hibbert
Tom McGrath
Will Dickson
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