XXXXX | Neuberger Balanced Fund

Why Invest

A multi-asset fund that seeks to deliver capital growth with portfolio diversification by investing ~60% in U.S. equities and ~40% U.S. fixed income

Balanced Allocation

Historically, an allocation of 60% U.S. Equities and 40% U.S. Fixed Income has shown equity-like returns with lower volatility accompanied by lower losses on periods of equity stress.1

Equity as a Return Driver

Research driven, bottom-up, fundamental approach to stock selection combining both quantitative analysis and qualitative judgment, seeking attractive businesses, led by strong management teams.

Fixed Income for Volatility Control

Disciplined investment process consistently applied across all fixed income sectors with an ongoing focus on identifying the most attractive investment opportunities in the fixed income market.

Fund Facts

Performance & Exposures

Returns & Distributions

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Portfolio Management Team

Fund Literature - 2 documents

Fund Literature Documents Listing and Download
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