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Institutional Absolute Return1 Institutional Absolute Return 1

Our absolute return portfolios target a range of inflation-beating returns and aim to preserve capital, regardless of market ups and downs.

We identify ways to protect capital from excessive risk through underlying security selection, managing exposure to asset classes and their risk premia, and using derivatives for downside protection.

  1. We integrate a bottom-up and top-down approach to asset allocation.
  2. Our tactical asset allocation techniques help us leverage asset class-specific growth opportunities, manage risk and generate more consistent returns.
  3. We proactively apply derivative protection strategies to reduce risk and the volatility of returns.

We can be the stable building block in your portfolio construction solution to your client.

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