Research-driven foundations
Our ETFs draw on decades of quantitative research, using factor models designed to enhance returns while managing risk.
From smart core building blocks to AI-driven strategies; from climate sovereign bonds to dynamic high yield — explore our expanding range of active ETFs.
Our equity ETFs include 3D strategies — a core part of our enhanced indexing offering, balancing risk, return and sustainability — alongside the Dynamic Theme Machine ETF, which uses AI to detect and invest in emerging and established themes.
The fixed income ETFs combine systematic portfolio construction with fixed income expertise. Spanning climate-aware government bonds and active credit strategies, they offer transparent, liquid and cost-efficient access to credit markets.
Building on our core strengths: 95 years of active management, strong track records across strategies, and continuous innovation, our ETFs are designed to be systematic, adaptable, and well-positioned for long-term success.

Our ETFs draw on decades of quantitative research, using factor models designed to enhance returns while managing risk.

We sharpen our models through innovation, applying AI and machine learning where they add genuine value.

We balance data-driven insights with the judgment of experienced portfolio managers, backed by 95 years of investment heritage.
Past performance is not a guarantee of future results. The value of your investments can go down as well as up. Capital is at Risk. There can be no assurance that any investment objectives will be achieved.

As sustainability preferences grow more nuanced, how can sustainability goals be aligned with core risk and return in portfolio construction?