portfolios triathloan global feeder fund

Global Investors Edge Balanced

The investment strategy of the Model portfolio is to achieve capital appreciation over the medium to long term. This Model is a multi-asset moderate fund, investing only in global markets. There are no limitations on the relative exposure of the fund selection to any asset class.

The model is actively managed and can include exposure to various equities, fixed interest, property, and money market asset classes. The asset allocation will be actively managed, shifting between markets and asset classes to reflect the changing economic conditions. The objective of the Model is to maximise investor return by varying the exposure to various moderate-risk asset classes with high capital growth over the long term. The recommended Time Horizon is 5 years or more.

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