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12th June 2014
Money Marketing

Asset Allocation: Why TAM Asset Management is steering clear of emerging market funds

TAM Asset Management is steering clear of emerging market funds and instead looking to strategic bond funds to offer “dynamic” active management.

Senior investment manager Christian Holland (pictured) says it is a space the wealth management firm does not need direct exposure to.

Holland says: “We just do not need to be there. We are looking to funds such as Rathbones and TwentyFour Asset Management to give us that dynamic management.” 

TAM currently has 4 per cent exposure in its TAM AM balanced portfolio to the Rathbone Strategic Bond fund and the TwentyFour Dynamic Bond fund. The portfolio is currently overweight in equities, a position the firm has held for some time. 

Link to original article:
http://www.moneymarketing.co.uk/news-and-analysis/analysis/asset-allocation-why-tam-asset-management-is-steering-clear-of-emerging-market-funds/2010936.article