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Why choose Multi-Manager?

A multi-manager portfolio provides full-time professional active management of your investments in a cost-effective way, as well as tailoring your portfolio on the following fronts:

  • Asset allocation: Equities, bonds, cash, and alternatives
  • Regional exposure: Europe, US, Japan, Asia and Emerging Markets
  • Investment focus: Aggressive, defensive, large companies, small companies, ‘value’, ‘growth’
  • Portfolio managers: Different investment styles, processes, resource, areas of specialist expertise

Why choose the Schroder Multi-Manager Portfolios?


  • An expert manager in the field of multi-asset and multi-manager investing, with leading-edge risk management tools
  • Access to alternative investments, institutional funds and boutique funds
  • Team is headed by Andrew Yeadon, who has 20 years of investment experience
  • Well-resourced investment team managing $2.6 billion of assets1
  • A proven track record of successfully managing Multi-Manager/ Multi-Asset portfolios over a number of years

1 Source: Schroders, as at 31 December 2007