PruNova
Investment Strategy

Multi-Asset Strategy

PruNova adopts a multi-asset strategy that adapts flexibly to changing market conditions.

  1. 01

    Public Equities

    Opportunities in major global equity markets, pursued through fundamental and market analysis.

  2. 02

    Structured Products

    Investment in appropriate structured products, taking their risk-return characteristics into account.

  3. 03

    Derivatives

    Used to build market exposure and for portfolio management, hedging and risk control.

  4. 04

    Digital Assets

    Major digital assets and related opportunities, selected under internal investment criteria and risk policy.