What is multi-asset investing?
Multi-asset investing involves combining a variety of asset classes – such as equities, bonds, cash and alternatives- into a single, diversified portfolio. This approach is designed to balance risk and return, providing growth potential while offering protection during market downturns.
Team members
Meet the talented individuals driving our vision forward and delivering investment excellence for our clients.
Bradley Anthony
Multi-Strategy Portfolio Manager
Jacobus Lacock
Multi-Asset Portfolio Manager & Macro Strategist
Kurt van der Walt
Multi-Strategy Portfolio Manager
Jacques du Plessis
Multi-Strategy Analyst
Obakeng Mophosho
Multi-Strategy Analyst
MJ Dippenaar
Multi-Strategy Analyst
Sevashen Thaver
Multi-Asset Analyst
Menzi Njakazi
Risk Analyst
Itumeleng Maruping
Risk Analyst
Fadeelah Abdullah
Risk Analyst
Johann Beck
Risk & Business Analyst
GET IN TOUCH
Let us manage your investment journey
Take the next step toward building a resilient financial future. Our team is here to provide any guidance to help you achieve your investment objectives.
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FAIRTREE INSIGHTS
News and insights
Explore a wealth of knowledge from our thought leaders, offering in-depth analysis, market trends and expert commentary to help you navigate the evolving financial landscape.
Fairtree Balanced Prescient Fund Q4 2025 commentary
Overall, market returns were strong in 2025. South African bond and equity markets recorded exceptional returns. The global equity market also performed well despite high interest rates, policy uncertainty, and geopolitical tensions.
Wild Fig Multi Strategy Hedge Fund Q1 Investor Update
Q1 2025 reminded us that the well-known saying “the only constant is change” remains as relevant today as ever before. In a quarter dominated by trade tariffs; new entrants in the artificial intelligence (AI) race.
Has US exceptionalism peaked?
Two months into 2025, the question emerges: Has US exceptionalism peaked? The YTD market performance contrasts sharply with 2024. Last year, US equities, particularly large tech stocks, performed exceptionally well, with the S&P 500 returning 25%, led by the “Magnificent 7” at 70%.
Fairtree’s balancing act
Managing a balanced fund means finding the right balance between cyclicals, yield, high or low quality, defensive, value and earnings growth.
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