KAM Absolute Return Portfolio

The KAM Absolute Return Portfolio seeks to mitigate downside risk within Multi-Asset portfolios by making use of collar strategies. The KAM Absolute Return Portfolio manages directional positions such that investors retain the potential for market participation over the long-term.

The KAM Absolute Return Portfolio represents a rejection of index driven 'relative' performance, in pursuit of a higher quality return that delivers 'absolute' performance across market cycles. The strategy takes advantage of non-traditional assets that seek to reduce the variability of portfolio returns.

The portfolio is available to all Multi-Asset clients irrespective of tax requirements, risk tolerance and time horizon.Return_circle

Factors for Consideration: Portfolios will be invested across a range of asset classes and are likely to include exposure to higher risk, more volatile, investments and strategies. Alternative assets may display greater volatility and/or poorer liquidity characteristics than traditional equities and bonds. The Absolute Return Portfolio makes use of options and warrants in an attempt to reduce the variability of returns within the equity component of the portfolio. The value of investments will vary and you may realise less than the sum originally invested.

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Features

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