Low correlation
Value-adding diversifiers. Strategies with low correlation to mainstream equity and credit markets seek to produce attractive risk-adjusted returns across diverse market environments.
Strategies
Fixed Income Alternatives | Net cash +4% objective. Dynamic, macro-driven, absolute-return oriented income strategy with the general risk profile of traditional fixed income. |
Insights
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.
Fixed Income Investing Amid Inflation and Rising Rates
James Novotny explains the benefits of a flexible approach to fixed income investment as inflation rises and central banks lift interest rates.
Macro Monitor: Big macro changes are brewing…
Mark Nash, James Novotny and Huw Davies discuss a busy outlook for central banks, as inflation surges and US real interest rates hit record lows.
Contact us
Contact Jupiter UK Institutional for more information.

Warren Tonkinson
Deputy Global Head of Distribution
Tel: 020 3817 1056
[email protected]

Tom Gardner
Head of Global Consultants
Tel: 020 3817 1703
[email protected]

Rachel Perini
Head of Institutional – UK
Tel: 020 3817 1309
[email protected]

Email: [email protected]