Finding diversification during uncertain markets
Jupiter Merian Global Equity Absolute Return Fund
Outlook 2024:
A pivotal year?
Periods of transition often raise interesting questions, and this year investors are faced with plenty as they look ahead to what 2024 may bring. Will Western central banks finally start cutting interest rates? Will geopolitical tensions calm or further escalate? And what might a fraught US Presidential election mean for the world?
Jupiter Merian Global Equity Absolute Return Fund
Finding diversification during uncertain markets.
Jupiter Dynamic Bond
A broad and flexible investment universe.
A flexible global bond fund with the freedom to invest in many different parts of the market.
Latest insights
Picks, Shovels and European Smaller Companies Investing
Picks, Shovels and European Smaller Companies Investing
Phil Macartney and Mark Heslop find a rich vein of opportunity in European smaller companies and discuss why it makes sense to supply picks and shovels in a gold rush.
Read time - 7 min.
03.05.2024
No free lunch: is a science of the stock market possible?
No free lunch: is a science of the stock market possible?
Complex systems and econophysics are intriguing and expanding fields of research that in time may lead to new signals to be incorporated in our investment model, say Amadeo Alentorn, Lead Investment Manager, and Matus Mrazik, Investment Manager, overseeing the academic research programme, Jupiter Merian Global Equity Absolute Return strategy.
Read time - 3 min.
01.05.2024
The case for emerging markets in 2024
The case for emerging markets in 2024
Our experts discuss the landscape for emerging market investing, including whether China is still investable, the growth potential of India, and an outlook for the future.
01.05.2024
Talking Factsheet: sovereign debt strategy
Talking Factsheet: sovereign debt strategy
Vikram Aggarwal gives an overview of Jupiter’s sovereign debt strategy, how the investment process works, and how the team seek to generate alpha.
01.05.2024
A flexible global bond fund with the freedom to invest in many different parts of the market.
A genuinely differentiated fund blending exposure to gold and silver bullion, and gold and silver mining equities.
Our products by asset class
Alternatives
Our alternative fund managers invest in an effort to generate returns regardless of a market backdrop.
Equities
Our equity funds invest around the world through active and unconstrained management.
Fixed income
Flexibility is at the heart of our approach with solutions that aim to meet a range of needs.
Multi-asset
Our multi-asset managers blend diversification with a carefully honed investment processes.
ESG
Our approach to ESG is focused on investing our clients’ assets responsibly to enhance returns
Market and exchange rate movements can cause the value of an investment to fall as well as rise, and you may get back less than originally invested.
Past performance is no guide to the future.