As an asset allocation solution, Fusion Group offers a range of smart-beta strategies which aim to achieve superior total return over standard benchmarks while, at the same time, maintaining the same risk characteristics (beta, volatility and drawdown) as the benchmark and improving diversification benefits to clients’ portfolios.
Examples of Fusion smart-beta strategies are Smart Beta Dynamic S&P, Smart Beta Dynamic FTSE100, Smart Beta Dynamic EuroStoxx50 and Smart Beta Dynamic Xover. The main feature of these strategies is the embedded protection component, the tail protection. On request, Fusion can provide clients with similar products for any major market index or asset classes.