Right now, consumer finances are being stretched on all fronts.
Clients may have seen a drop in the value of their plan. And this is likely to cause understandable concern about the current and future performance of their investments.
As we navigate these tough market conditions, now’s the time to discover an asset mix that’s expertly crafted to help deliver resilience in times of volatility.
“As inflation continues to rise, recessions in major economies now seem inevitable.
Turbulent market conditions have also meant that simple balanced funds, which passively invest in stocks and bonds have suffered the worst six month start to a year in over 50 years.
Head of Multi Asset, Royal London Asset Management (RLAM)
Our multi-asset portfolios come with active management, impartial governance and responsible investment - at no extra cost. We call it the Governed Range.
We have a number of risk-targeted portfolios to choose from - and they all aim to deliver above-inflation returns over the medium to long-term.