How five multi-asset managers are risk-proofing their portfolios

Mike Pinggera, manager of the Multi Strategy fund at Sanlam FOUR has told Trustnet of his concerns surrounding politics, and uncertain interest rates. Low volatility combined with high market uncertainty leads him to suggest that options are the best way to make the most of these circumstances. Pinggera has increased his exposure to real assets to 25% gradually over the last four years.

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