In the spotlight
A carefully selected range of actively-managed funds that we think you will find of interest.
Selected for you, by us
These examples from Jupiter’s extensive fund range showcase the breadth of our investment expertise. Within each section you will find more details including latest insights from the fund management team.

Jupiter European Equities
A large and diverse investment universe
An active, high-conviction approach designed to maximise opportunities no matter the outlook.

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.

Jupiter Emerging Market Debt Strategies
An asset class for all seasons
Access one of the fastest-growing fixed income sectors of the past decade.

NZS Capital
In search of resilience and optionality
Investing in stocks that can navigate disruptive forces to the economy.
Investing in stocks that can navigate disruptive forces to the economy.
Latest Insights
Notes from the Investment Floor: Food, fuel, and geopolitical ESG
Notes from the Investment Floor: Food, fuel, and geopolitical ESG
John Chatfeild-Roberts gives his assessment on the war in Ukraine and discusses the investment implications for the security and cost of food and fuel.
Read time - 4 min.
27.05.2022
Emerging market debt: Winners and losers
Emerging market debt: Winners and losers
Alejandro Arevalo and Jupiter’s Emerging Markets Debt team weigh the opportunities as well as potential risks in the asset class amid rising inflation, tighter policies and geopolitical tensions.
Read time - 7 min.
27.05.2022
Systematic global equities: Tackling challenging macro environments
Systematic global equities: Tackling challenging macro environments
With volatility likely to continue, Matus Mrazik explains how a systematic approach can help to weather tough macro and style environments.
Read time - 6 min.
23.05.2022
Emerging market debt: Is this as bad as it gets?
Emerging market debt: Is this as bad as it gets?
Reza Karim explains how the asset class has fared this year and which segments of the market offer potential opportunities for investors.
Read time - 6 min.
20.05.2022