Standard Chartered advises absolute returns to manage allocation risks
IN the current uncertain environment, investors should complement multi-asset income with multi-asset macro strategies that provide absolute returns in order to manage allocation drawdown risks, says Standard Chartered Wealth Management Group.
Already a subscriber? Log in
Play, subscribe and stand a chance to win prizes worth over RM39,000! T&C applies.
Cancel anytime. Ad-free. Unlimited access with perks.
