Their in-house investment team achieve this through investment strategy that captures opportunities and avoids unnecessary risk by focusing on a variety of asset classes.

NEST seeks to match the sophistication and quality of some of the biggest institutional investors around the world, but at great value for money. They do this by investing in 13 asset classes, including emerging market equities and bonds, developed market equities and bonds, property and commodities, with a view to moving into private markets, particularly private debt.

It is an approach that is paying off. NEST’s default fund is delivering market leading risk adjusted returns through risk management and diversification.

Find out more by watching this short video with NEST’s Head of Investment Communications, Annie Bruzzone