Jupiter Merlin Real Return


Fund Strategy Multi Strategy
Fund Geography Global
Investment Advisor Jupiter Asset Management
Portfolio Manager Algy Smith-Maxwell, John Chatfeild-Roberts
Fund Currency EUR
Fund AUM €175.2m
Fund AUM (GBP) £153m
Fund AUM as of 30 August 2019
Fund Inception 31 January 2013
Fund Indices AH Multi Strategy UCITS Index

Fund Objective

The investment objective of the Jupiter Merlin Real Return Portfolio is to achieve real returns over a 3 year rolling period.

Reference Index

Euribor EBF 3 Months


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