At Columbia Threadneedle, we offer actively managed long and short strategies that invest in a diverse global portfolio of commodities to access the capital growth, portfolio diversification and inflation protection benefits offered by this asset class.
Our Commodities team has extensive and complementary experience of investing and trading in global commodity markets. The team aims to exploit a broad range of market opportunities, utilising a research-driven approach and active asset allocation between different commodity markets and along the commodity term structures. The team works closely with our responsible investment specialists to ensure that ESG principles are integral to its approach.
With a focus on achieving consistent and de-correlated alpha by combining multiple relative value strategies, the team has continued to succeed in a radically changing investment environment.
We are confident that our fundamentally-driven active approach will enable us to add value and capture diversification benefits as the commodities market continues to evolve.
Balancing uncertainty and optimism
CIO outlook: market conditions, fixed income and equities, commodities and real assets
CIO outlook: net zero, asset allocation, corporate profits and the tech sector
CIO outlook: global markets, Ukraine, recession fears and supply chains
Emerging markets: volatility doesn’t disrupt the process
CIO outlook: market volatility, oil and interest rates
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Millions of people around the world rely on Columbia Threadneedle Investments to manage their money. We look after investments for individual investors, financial advisers and wealth managers, as well as insurance firms, pension funds and other institutions.
Columbia Threadneedle Investments has a comprehensive range of investment funds catering for a broad range of objectives.
We offer a broad range of actively managed investment strategies and solutions covering global, regional and domestic markets and asset classes.