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Columbia Threadneedle Investments

2024 Top 500 ranking: 43

Why multi-asset strategies suit a changeable world

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For the past 35 years, a ‘set and forget’ strategic asset allocation has worked well. A typical 60:40 asset mix of equities and bonds had around the same volatility as a pure 100% bond portfolio, but with a better return. It is not likely to be as fruitful moving forward.

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