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.
A large and diverse investment universe
An active, high-conviction approach designed to maximise opportunities no matter the outlook.
An active, high-conviction approach designed to maximise opportunities no matter the outlook.
A broad and flexible investment universe
A flexible global bond fund with the freedom to invest in many different parts of the market.
A flexible global bond fund with the freedom to invest in many different parts of the market.
An asset class for all seasons
Access one of the fastest-growing fixed income sectors of the past decade.
Access one of the fastest-growing fixed income sectors of the past decade.
Taking a stake in the highest quality companies who actively balance the needs of three core stakeholders: Planet, People and Profit.
Golden allure
A genuinely differentiated fund blending exposure to gold and silver bullion, and gold and silver mining equities
A genuinely differentiated fund blending exposure to gold and silver bullion, and gold and silver mining equities
Fixed income for a new world
In today’s market, there is room for a different approach to fixed income exposure. This strategy uses dynamic and speedy asset allocation to target risk-adjusted returns and small drawdowns.
In today’s market, there is room for a different approach to fixed income exposure. This strategy uses dynamic and speedy asset allocation to target risk-adjusted returns and small drawdowns.
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.
Finding diversification during uncertain markets.
Latest Insights
The importance of diversification
The importance of diversification
Jason Pidcock and Sam Konrad explain why they think their Asian Equity Income strategy is well positioned for a range of scenarios, given its diversified exposure.
Read time - 5 min.
04.06.2024
US Exceptionalism and EM Opportunities in Sovereign Bonds
US Exceptionalism and EM Opportunities in Sovereign Bonds
Vikram Aggarwal discusses the recent IMF Spring conference, US economic exceptionalism, progress among distressed EM sovereigns and what it means for investors.
Read time - 4 min.
23.05.2024
The European equities equation: quality, growth, diversification
The European equities equation: quality, growth, diversification
Mark Nichols and Mark Heslop discuss high-quality, cash-generative, growth companies in Europe and why these stocks offer diversification potential for global investors.
Read time - 4 min.
22.05.2024