£8.4 billion

Assets under management*

*Source: LGIM internal data as at 31 Dec 2023. 

Meet our Multi-Index managers

Andrzej Pioch

Andrzej Pioch

Fund manager
Francis Chua

Francis Chua

Fund Manager

Our Multi-Index fund managers are responsible for managing the Multi-Index fund range. They are part of the Asset Allocation team at LGIM. This team comprises highly-skilled specialists from many disciplines including economists, investment strategists and fund managers who work together to monitor market cycles and the mix of the portfolios, combining robust risk mitigation and strategic asset allocation.

Multi-Index Awards1

1Awards should not be considered a recommendation. Past performance is not a guide to the future.

Best Multi-Asset Fund Range:

Volatility Managed

Professional Adviser

2021, 2020

Best Risk Managed Range of Funds

 

Professional Adviser

2023

Best Multi-Asset Group/Fund for ESG

 

Professional Adviser

2021

Key risks

The value of any investment and any income taken from it is not guaranteed and can go down as well as up, and investors may get back less than the amount originally invested. The risks associated with each fund or investment strategy should be read and understood before making any investment decisions. Further information on the risks of investing is available from LGIM’s Fund Centres.