The Global Financial Crisis (GFC) permanently changed investors’ perceptions of important concepts such as diversification and correlation. The Covid-19 pandemic reasserted these concerns after a period of comparative stability. Extraordinary monetary policy measures implemented by central banks around the world - following both crises - continue to skew investment returns and tighten the relationships between equities, bonds and other risky assets, making diversification harder to achieve than ever before.
Despite this, investors still retain long-term ambitions to generate income and/or capital growth, but there is now much greater awareness of the importance of protecting their money from market falls and creating genuine diversification. Alternatives can help investors to build robust portfolios to withstand a range of different market environments.
Schroders has a broad range of alternative investment strategies, including hedge funds1, fixed income alternatives and commodities. These strategies invest primarily in public markets, and most deploy alternative investment techniques such as investing in both long and short2 securities. As a result, they are typically less correlated to mainstream markets.
Many of our public market alternative investment strategies are structured within a European-regulated, mutual fund3 format. This means generally access is easier, liquidity is higher and transparency is better, compared to unregulated offshore funds.
Schroders also has alternative investment strategies that invest in private markets, such as real estate, private equity, private debt and infrastructure – for more information please click here.
Schroders has over 40 years of alternatives experience, and offers access to over 30 strategies.
Our alternatives business is forward-looking and aims to be distinctive in the following four key areas: Impact, Collaboration, Innovation, and by having a Solutions mindset.
Impact - our ability to use Schroders’ market leading sustainability capability to deliver long-term value to our clients, while understanding how our investments impact the wider world.
Collaboration – our breadth of expertise and culture of collaboration enables Schroders to create unique insights and generate better results for our clients.
Innovation – Schroders has a history of innovation to meet the ever-changing needs of our clients and build long-term partnerships.
Solutions – the strength of Schroders’ Solutions platform is in its breadth of investment capabilities and our expertise to create highly distinctive alternatives solutions for our clients.
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This document is intended to be for information purposes only and it is not intended as promotional material in any respect nor is it to be construed as any solicitation and offering to buy or sell any investment products. The views and opinions contained herein are those of the author(s), and do not necessarily represent views expressed or reflected in other Schroders communications, strategies or funds. The material is not intended to provide, and should not be relied on for investment advice or recommendation. Any security(ies) mentioned above is for illustrative purpose only, not a recommendation to invest or divest. Opinions stated are valid as of the date of this document and are subject to change without notice. Information herein and information from third party are believed to be reliable, but Schroder Investment Management (Hong Kong) Limited does not warrant its completeness or accuracy.
Investment involves risks. Past performance and any forecasts are not necessarily a guide to future or likely performance. You should remember that the value of investments can go down as well as up and is not guaranteed. You may not get back the full amount invested. Derivatives carry a high degree of risk. Exchange rate changes may cause the value of the overseas investments to rise or fall. If investment returns are not denominated in HKD/USD, US/HK dollar-based investors are exposed to exchange rate fluctuations. Please refer to the relevant offering document including the risk factors for further details.
This material has not been reviewed by the SFC. Issued by Schroder Investment Management (Hong Kong) Limited.