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Why Legal & General for Multi Manager?

For a heavyweight multi manager range, choose Legal & General Investments.

We are one of the largest fund management companies in the UK. As a highly recognised brand, we have the stability and prudence to manage portfolios over the long term – and your clients will benefit from both our experience and our scale.With three funds in our dynamic multi manager range, it’s testament to our team’s success that we’ve delivered some outstanding returns for clients across all of them, through some of the most challenging periods in economic history. This is largely due to:

  • An intelligent investment process – a unique approach that concentrates on the interdependence of asset allocation and fund selection as joint performance drivers.
  • Talented fund managers Alan Thein and Tim Gardner have worked together for 'over ten years' in both the institutional and retail space. This is really important to the depth of understanding and
    co-operation they have, and a crucial factor of success for any investment team.
  • High conviction – the portfolio invests in a smaller number of funds than many of its competitors, holding between 15-20 managers. This means investment decisions are not diluted and every fund contributes to the portfolio’s performance
  • Delivering winning performance in all market conditions – our team’s flexible approach has enabled us to ride the storm of several market cycles and numerous market conditions, some of which have been the toughest in living memory.
  • Having the freedom and control of an end-to-end process – as well as drawing on the strength of Legal & General, our multi manager investments team operates a boutique approach and is responsible for all aspects of the funds’ performance.
  • Being recognised for our rigorous investment process – Unusually, the funds have been rated by OBSR, S&P and Citywire before their three year anniversaries, highlighting their success.