Active Equity and Bond,
Multi-Asset, Real-Return and
Income Solutions within a
Global Thematic Framework
Newton1 is a London-based global investment house with expertise in a range of disciplines, including global, regional and emerging-market equities, multi-asset strategies, absolute-return investing and global bonds.
We use a global, thematic approach to investment to help us achieve long-term perspective on global financial markets and economies and to
identify areas of long-term risk and opportunity. A central tenet of our approach is that “change leads to opportunity.” Themes help our analysts to focus upon key trends and to select investment opportunities within these trends to recommend to our portfolio managers.
Our investment managers are supported by strong in-house research teams: analysis is a career at Newton, not a stepping stone, and some of our analysts have direct experience in the global sectors for which they are responsible. Our investment team is located in a single location in London, which promotes perspective on the investment landscape, strong idea generation and the swift implementation of investment ideas.
Responsible investment is integral to our fundamental research and investment process. ESG (environmental, social and governance) research informs the long-term themes that represent Newton’s ideas about the likely forces of change in the world. We consider ESG issues in relation to every company in which we invest in the strong belief that responsible investment is a better investment for our clients.
The value of investments can fall. Investors may not get back the amount invested.