At Capital Group, our multi-asset portfolios benefit from double layers of diversification. This approach is designed to deliver consistent long-term results for our investors.
1st layer of diversification
Asset allocation driven by structural opportunities across asset classes
2nd layer of diversification
The Capital SystemTM: Combining the high conviction of individual managers and the diversification of a team approach.
For over 50 years, our team has identified a variety of opportunities across the global equity and fixed income markets to help our investors navigate various market challenges.
Actionable ideas
Navigate markets with our range of multi-asset portfolios
Multi-asset income solution
A lower risk approach to resilient growth through income-generating assets
Risk factors you should consider before investing:
This material is not intended to provide investment advice or be considered a personal recommendation.
The value of investments and income from them can go down as well as up and you may lose some or all of your initial investment.
Past results are not a guide to future results.
The Prospectus – together with any locally-required offering documentation – set out risks, which, depending on the fund, may include risks associated with investing in emerging markets and/or high-yield securities; emerging markets are volatile and may suffer from liquidity problems.