Select Your Location
View available investments and insights in your market
Americas
Europe and the Middle East
Asia Pacific
Our Philosophy
We partner with clients on outcome-oriented solutions leveraging our array of core and specialist capabilities, tailored to their unique guidelines and objectives. Our research-driven approach is designed to capitalize on market opportunities over a variety of investment horizons.
Multi-Asset Portfolio Management Centers
Global Investment Presence Leveraging On-the-Ground Insights

Multi Asset Class Locations

Multi-Asset Portfolio Management Centers

An Introduction to Multi-Asset at Neuberger Berman
"We leverage the depth and breadth of the Neuberger Berman platform to build multi-asset class solutions that pursue our client's long-term investment objectives"

~ Erik Knutzen, CFA, CAIA, Chief Investment Officer—Multi-Asset

Customized Solutions and Strategic Partnerships
Multi-dimensional investment management capabilities utilizing the breadth of Neuberger Berman's global platform
Access to wide range of asset classes
Public
Public/Private
Ability to implement across the liquidity spectrum
Liquid
Semi-Liquid
Illiquid
Portfolio construction spanning time horizons
Short-Term Tactical
Days To Months
Medium-Term Thematic
Months To Year-Plus
Long-Term Strategic
Multi-Year
Multi-Asset Investment Offerings
Actively managed macro, systematic, income-focused and global multi-asset strategies to navigate the evolving investment landscape by responding nimbly to market opportunities
SUSTAINABLE (ESG) MULTI-ASSET
TACTICAL MACRO
MULTI-ASSET REAL RETURN
PUBLIC/PRIVATE TOTAL RETURN
CUSTOM DIRECT INVESTING
Strategy Spotlight
Proprietary Portfolio Insights
Utilize leading-edge, proprietary analytics models for multi-asset and solutions capabilities to actively harness alpha
Asset Liability Modelling (ALM)

Design asset allocations that solve for multiple objectives and constraints simultaneously. Bespoke analysis including ALM studies, liquidity analysis and hedge program development

Peer / Data Analysis

Evaluate investors’ exposures across industry and relative to peers using detailed asset class allocations, risk and return analysis

Strategy Detective®

Alpha detection and modelling tool used to optimize aggregate portfolio exposures, by evaluating managers using factor and exposure analysis to identify sources of alpha/beta

Risk Modeling & Portfolio Simulation

Modeling of assets and liabilities to estimate portfolio risk metrics and assess objectives. Stochastic modeling to construct return distributions and run tail risk analytics

Private Markets Modelling

Stochastic cash flow and pacing tool for private markets investments, used for allocation modelling and cashflow analysis

ESG, Sustainable & Impact
We consider ESG factors across our multi-asset solutions and offer a range of solutions tailored to meet client objectives and ESG criteria.
ESG Integration

Above median scores for ESG integration efforts in every UN-supported Principles for Responsible Investment (PRI) reported category1

Proprietary Views

Internally developed sector-relevant company ratings vs peers on over 4,000 equities and 2,700 credit issuers

Customized Solutions

Innovative implementation to address range of ESG goals, including net-zero

How We Collaborate with Clients
CASE STUDY

Developed a suite of customized multi-asset model portfolios with a sustainability focus, combining NB offerings with select third party strategies2

Cost-Efficient

Portfolios constructed with a mix of active and passive strategies

ESG Integration

Innovative ESG research to seek to drive excess return, risk mitigation and positive ESG outcome

Strategic Asset Allocation

Leverage proprietary fundamental and quantitative research

Tactical Views

Dynamic exposure adjustments to capture valuation opportunities and manage risk across global markets

Latest Thinking