Capital at risk
Equity income and multi-asset income
Our equity and multi-asset-income strategies aim to generate dependable income for you while maintaining or growing the inflation-adjusted value of your capital over the long term.
![The Valencia City of Arts and Sciences at sunset.](https://www.bailliegifford.com/cdn-cgi/image/w=3840,h=3840,g=0.47x0.31999999999999995,fit=cover/https://media.bailliegifford.com/mws/kumjy0op/equity_and_multi_asset_shutterstock_2116253225.jpg?v=63816806542)
What are the strategies’ characteristics?
Global Equity Income and its responsible variant invest in 50 to 80 companies offering sustainable and dependable growth. We seek to create capital growth and a dependable income, both accounting for inflation. Sustainable Income invests in global equities, ‘real assets’ – such as property and infrastructure – and fixed income. It pays a higher level of steady current income than equity-only income portfolios while seeking to maintain the inflation-adjusted value of capital and income over time.
How do we invest in these income strategies?
Our Global Income Growth team manages the Equity Income strategies. It seeks cash-generative and capital-light firms with defensible competitive positions, which pay dividends as well as reinvest for growth.
Multi Asset Income is managed by a Portfolio Construction Group. It draws in specialists from across Baillie Gifford. Asset class diversification reduces vulnerability to short-term volatility.
Equity-income and multi-asset-income strategies
All our investment capabilities
Core growth
Large, diverse portfolios of growth-focused holdings built with benchmarks and reduced volatility in mind.Equity and multi-asset income
Seeking both dependable income and long-term capital growth.Fixed income
Targeting company and government bonds with a focus on long-term outcomes.Flexible growth
Portfolios containing a mix of firms focused on disruption, steady compounding and timely capital allocation.High growth
Concentrated portfolios of fast-growth companies, typically holding between 25 and 50 stocks.