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Managed Volatility

Advantus focuses on two primary managed volatility strategies. Advantus Dynamic Managed Volatility strategy is a balanced allocation strategy with active risk management. Advantus Managed Volatility Equity strategy is a low volatility equity-based strategy with active risk management.

For Institutional Investors

 Dynamic Managed Volatility factsheet

Dynamic Managed Volatility strategy fact sheet

Image - Managed Volatility Equity

Managed Volatility Equity strategy fact sheet

Low volatility equities help weather market cycles

Video: Managed Volatility - Today's Must-Know Investing Strategy


Meet the Investment Team

David Kuplic photo  Craig Stapleton photo
David Kuplic, CFA
Executive Vice President & Portfolio Manager
Craig Stapleton, CFA, FRM
Vice President & Portfolio Manager
 Jeremy Gogos photo  
Jeremy Gogos, CFA, Ph.D.
Associate Portfolio Manager

The information contained on this site is intended for institutional investors only, and is published strictly for informational purposes only. This information does not account for the investment objective, financial situation or specific needs of any particular institutional investor. Nothing contained herein constitutes investment, legal, tax or other advice nor is it to be relied on in making an investment or other decision. This information should not be viewed as a current or past recommendation or a solicitation of an offer to buy or sell any securities or to adopt any investment strategy. The information presented herein has been developed internally and/or obtained from sources believed to be reliable; however, Advantus does not guarantee the accuracy, adequacy or completeness of such information. Opinions expressed herein represent the views of the author at the time of publication, and may change. Investors should keep in mind that markets are volatile and unpredictable.

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