Volatility is back. And we've got you covered
After years of historically low market volatility since the 2008 financial crisis, investors can expect much larger swings in asset prices in the next few years. Likely changes in policy settings and escalating geopolitical tensions mean assets accumulated during more benign times need to be protected. Sound financial planning is about growing assets and mitigating risks to safeguard investors’ financial future. It’s why we launched the Aberdeen Standard Global Risk Mitigation Fund. This unique and innovative strategy is designed to mitigate the downside risk of developed market equities, protect portfolios and help investors to achieve higher annualised returns.
You can learn more by visiting our website or clicking on the fund profile below
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