Breadcrumb Home INTERACTIVE May 03, 2010 01:00 AM Top-performing managers: Composite world allocation Tweet Share Share Email More Reprints Print Top 10 managers: one-year returnCategoryGross returnNetreturnTCW Worldwide OpportunitiesUS SA world allocation71.47%68.06%Wellington Real AssetUS SA world allocation46.04%44.77%Wellington Opportunistic InvestmentUS SA world allocation45.51%N/AWellington Diversified Inflation HedgesUS SA world allocation45.07%43.81%Calamos Global Opportunities CompositeUS SA world allocation40.85%39.62%GMO Global Balanced Allocation StrategyUS SA world allocation32.35%31.80%Lazard Cap. Allocator Series (Glob. Non-Trad.)US SA world allocation30.70%29.39%Invesco Premia PlusUS SA world allocation24.74%24.15%Pyrford Absolute ReturnUS SA world allocation17.96%17.52%Dorsey Wright Sys. Rel. Strength Glob. MacroUS SA world allocation13.99%11.82% Top 10 managers: five-year returnCategoryGross returnNetreturnTCW Worldwide OpportunitiesUS SA world allocation15.35%12.93%Wellington Opportunistic InvestmentUS SA world allocation9.32%N/ACalamos Global Opportunities CompositeUS SA world allocation8.64%7.63%Wellington Diversified Inflation HedgesUS SA world allocation8.34%7.38%Wellington Real AssetUS SA world allocation7.78%6.82%GMO Global Balanced Allocation StrategyUS SA world allocation6.28%5.79%Investment Protection Service Glob. Bal.US SA world allocation5.61%4.61%Pyrford Absolute ReturnUS SA world allocation5.27%4.85%GAM Diversity StrategyUS SA world allocation5.09%3.21%Invesco Global Tactical Asset Alloc.US SA world allocation-0.24%-0.44%Source: Morningstar Inc. Recommended for You Insider buying picking up S&P 500 Energy index shows strength Graphic: Sell-off makes stock valuations more attractive Sponsored Content: OCIO, Anchor in Rough Seas Reader Poll May 23, 2022 In the wake of Allianz Global Investors fallout, would you hire a manager that uses derivatives as part of its strategy? SEE MORE POLLS > Sponsored White Papers Crossroads: Politics, Inflation, & Bonds Credit Indices: Closing the Fixed Income Evolutionary Gap Forever in Style: Benchmarking with the Morningstar® Broad Style Indexes℠Q2 2022 Credit Outlook: Carry On Leverage does not equal risk Is there a mid-cap gap in your DC plan? View More Sponsored Content Partner Content The Industrialization of ESG Investment For institutional investors, ETFs can make meeting liquidity needs easier Gold: the most effective commodity investment 2021 Investment Outlook | Investing Beyond the Pandemic: A Reset for Portfolios Ten ways retirement plan professionals add value to plan sponsors Gold: an efficient hedge View More