Barclays said that fund adopts an innovative investment methodology to allocate to a diverse range of assets and is aimed at corporate, retail and private banking clients.

The fund focuses on fixed income with up to 70% invested in this asset class including inflation-linked bonds. The remaining 30% will be invested in a combination of money markets and commodities, depending on market conditions.

The bank claims that through dynamic allocation, the fund offers investors the potential of stable returns in different market conditions, including volatile, inflationary and deflationary periods over a medium-to-long term period.

Barclays Capital Fund Solutions Asia head Paul Hopkins said that the Real Return Fund offers the potential for investors to earn real returns in varied market conditions.

"Through utilizing a range of highly diverse assets we believe we can generate numerous sources of uncorrelated returns for our clients," Hopkins said.