Multi-Asset Portfolio Services
We invest in a diversified range of asset classes including fixed income (both sovereign and corporate), equities, property, cash and 'alternative assets'.
A dynamic approach to asset allocation is employed, providing us with the flexibility to adjust portfolio weightings whilst at all times maintaining investment discipline. Our bespoke approach to portfolio management ensures investment decisions remain tailored to your long term objectives.
Our absolute return approach represents the rejection of index driven 'relative' performance, in pursuit of a higher quality return that delivers 'absolute' performance across market cycles.
We can mitigate downside by making use of hedging strategies. Positive returns are targeted, whatever the direction of the market and directional positions are managed such that investors retain the potential for market participation over the long-term.
Our Income approach aims to outperform the principal asset classes, in addition to providing a stable income level which is distributed on a monthly, quarterly or bi-annual basis.