Prolonged market turbulence has seen panicked investors flocking to cash in the hopes of shielding their savings and protecting their investments for the future. Economic reports from around the globe are forecasting a volatile future but even in an unpredictable climate with shorter economic cycles, cash in not the only option.
Matthew Hopkins, AMP Capital senior portfolio manager, discusses how the AMP Capital Multi Asset Fund can shield investors from volatile market conditions and defend against turbulence with a truly diversified, actively managed and responsive investment option.
Matthew is a Senior Portfolio Manager for the AMP Capital Multi Asset Fund.
Matthew chairs the working group for the Multi Asset Fund and is responsible for portfolio construction, risk management, research and hedging. In his role within the Multi Asset GroupAca,-a,cs Portfolio Management team, Matthew also participates in a wider variety of client-related investment solutions for the Group and has extensive experience in portfolio construction and investment risk analysis.
Matthew began working with AMP Capital in 1989. Subsequently, he has held various positions including as a Portfolio Manager and analyst in Diversified and Hedge Fund portfolios, Divisional Director of Investment Risk (Research and Strategy, Henderson Global Investors, London) and Head of Portfolio Analytics (UK Equities, AMP Asset Management, London).