Investment solutions
Diversified Strategies
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Diversified Strategies
Atrium’s diversified strategies are designed to give investors the confidence to stay invested through market cycles.
Our diversified strategies are built on a single investment platform: a global research network, deep manager selection capability, and a disciplined approach to risk and asset allocation.
Within that platform, our strategies fall into two families, each designed for different investor needs. The Risk Targeted strategies are built around an explicitly managed level of portfolio risk. The Risk Aware Opportunities strategies are designed for investors with a longer investment horizon and the conviction to accept short-term volatility in pursuit of higher expected returns. Both draw on the same research capability, the same active asset allocation framework, and the same global manager universe.
Risk Targeted Strategies
Deliberate risk management for wealth that has taken a lifetime to build.
Our Risk Targeted strategies are the fullest expression of our investment philosophy. These portfolios are constructed around a specific objective: to deliver returns within an explicit volatility target.
How it works
Each portfolio is managed to an explicit volatility target. Risk is measured, monitored and managed at the whole-portfolio level. Wide asset class ranges allow us to skew towards the best risk-reward opportunities, while the integration of private markets and alternatives provides access to returns that are not solely dependent on rising share, property and bond markets.
What this delivers
The practical result is portfolios designed to draw down less during market dislocations, recover when conditions normalise, and provide investors with the confidence to remain invested when markets are volatile.
Who it suits
These strategies are particularly well-suited to investors where sequencing and longevity risks are real, who value the benefits of being genuinely diversified, and where a steady investment experience through volatile markets matters.
Risk Aware Opportunities Strategies
Risk Aware means risk management is a primary part of how these portfolios are built, even without a specific volatility target.
Our Risk Aware Opportunities strategies are designed for investors who have time on their side and the conviction to accept short-term volatility in pursuit of higher expected returns.
How it differs
These portfolios are built on the same investment platform as the Risk Targeted strategies. They access the same global research partnerships, the same valuation-driven asset allocation framework, and the same active, high-conviction approach to portfolio construction. The difference is deliberate. There is no explicit volatility target, and these portfolios maintain tighter asset allocation ranges, less exposure to alternatives and private markets, and higher use of passive investments. These strategies offer a lower-cost, more growth-oriented solution.
The trade-off
The trade-off is transparent. Investors in the Risk Aware Opportunities range will experience greater volatility in pursuit of growth, due to lower exposures to diversifying allocations and defensive overlays, and without the explicit volatility target that defines the Risk Targeted range.
Who it suits
These strategies suit investors who are building wealth over a longer investment horizon, and value the discipline of an institutional approach without the full risk-management architecture of the Risk Targeted range.
The Atrium Diversified Solutions include:
Risk Targeted Strategies
- Atrium Evolution Risk Targeted AEF 5
- Atrium Evolution Risk Targeted AEF 7
- Atrium Evolution Risk Targeted AEF 7P
- Atrium Evolution Risk Targeted AEF 9
- Atrium Evolution Risk Targeted AEF 9P
- MAPS Risk Targeted Portfolios on HUB24
- Atrium Risk Targeted Portfolios on CFS
Risk Aware Opportunities Strategies
- MAPS Balanced Opportunities on HUB24
- MAPS Growth Opportunities on HUB24
