Manage Market Volatility

Market volatility can impact your clients' hard‐earned savings. Learn how embracing flexibility helps clients manage volatility and find market opportunity.

Only 25% of Americans take a confident approach to financial risk.1 Help your clients keep the savings they’ve worked tirelessly to build with diversified investments designed to ease the impact of volatile markets.

Solutions to Manage Volatility

Columbia Adaptive Risk Allocation Fund

Morningstar Category: Tactical Allocation


This fund strives to participate in the upside of markets and helps manage investor capital in unfavorable market conditions.


  • Applies a thoughtful risk-based approach to diversification
  • Invests across the globe to increase clients’ geographic diversification
  • Embraces flexibility — managers strategically adjust portfolio to accommodate market fluctuations

Award-Winning Investor Newsletter

1The Mutual Fund Education Alliance STAR Awards competition recognizes excellence in mutual fund marketing and communications. Materials were evaluated on educational value, message comprehension, effective design and stated objectives. The Columbia Threadneedle Investor Newsletter won best Retail Electronic Newsletter in either the Large or the Large Plus Asset Level category in 2011, 2012, 2013, 2016, 2017 and 2018.