Pzena, Mondrian and ATLAS split €500m Mediolanum IF allocation

Allocations to two value-orientated strategies

Mike Sheen
clock • 2 min read

Mediolanum International Funds (MIF) has allocated €500m across three new asset management partners as part of its multi-manager strategy.

New York-based Pzena Investment Management will receive €220m for its global value strategy, which is benchmark agnostic and will typically hold 60 stocks in total, while MIF has handed a further €220m to Mondrian Investment Partners for its Global Equity strategy. Mondarian's 35 to 50 stock strategy is also value oriented and invests in listed global equity securities in developed countries via a dividend methodology whereby valuations are based on anticipating future dividends, discounting the value of those dividends back to their present value. A further €70m has been allocated to...

To continue reading this article...

Join Investment Week for free

  • Unlimited access to real-time news, analysis and opinion from the investment industry, including the Sustainable Hub covering fund news from the ESG space
  • Get ahead of regulatory and technological changes affecting fund management
  • Important and breaking news stories selected by the editors delivered straight to your inbox each day
  • Weekly members-only newsletter with exclusive opinion pieces from leading industry experts
  • Be the first to hear about our extensive events schedule and awards programmes

Join now

 

Already an Investment Week
member?

Login

More on Multi-asset

Multi-asset teams sentiment indicator: Japanese equities most favoured in Q4

Multi-asset teams sentiment indicator: Japanese equities most favoured in Q4

Scopic Research monitors the sentiment of multi-asset teams towards different growth, defensive, and diversifying assets on a quarterly basis. The sentiments are based on a 12-month view. Investment Week has joined with Scopic to share the results on...

Paul Ilott
clock 07 December 2023 • 5 min read
Partner Insight: How interest rate moves drive bond returns

Partner Insight: How interest rate moves drive bond returns

Markets might have got their interest rate outlook wrong, but the case for holding global bonds as part of a multi-asset portfolio remains as strong as ever

Partner Insight: Staying the course - combining strategic and dynamic asset allocation to deliver better outcomes for your clients

Partner Insight: Staying the course - combining strategic and dynamic asset allocation to deliver better outcomes for your clients

Tara Jameson, Co-Manager of the Schroder Global Multi-Asset Portfolios
clock 03 November 2023 • 8 min read
Trustpilot