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Why BT’s Multi-managers funds
Let us do all the hard work for you.
When you open a bottle of wine from your cellar you are uncorking the work of a team of specialists. They select the highest quality grapes, blend them in the perfect proportions and monitor for defects, so that once bottled they deliver a premium quality wine.
So too, when you invest in a BT Multi-manager fund, our team of experts take care of the manager research, portfolio construction, rebalancing and monitoring for you.
The benefits of diversification
The following graph demonstrates that by combining a broad range of asset classes and investment managers in an optimal mix, we can deliver solid returns with lower levels of volatility over time.
The blue circle represents the BT Multi-manager Balanced Fund, while the orange circles represent the benchmark returns for each of the asset classes in the Multi-manager Balanced fund. As shown, by combining and optimally weighting a broad range of asset classes and managers we can deliver higher levels of return with lower levels of risk.
Annualised Risk Return for 3 years to 30 April 2007. View benchmarks

