Investment solutions
Assetbase manages four portfolios under the label of multinational financial services organisation, Prescient.
Assetbase CPI+2% Prescient Fund of Funds
The objective of the portfolio is to achieve a total performance of at least 2% per annum better than the inflation rate over rolling periods of 3 years or more. This fund is suitable for cautious investors who want to protect their assets, whilst achieving a real increase in the value of their investment.
Assetbase CPI+4% Prescient Fund of Funds
The objective of the portfolio is to achieve a total performance of at least 4% better than the inflation rate over rolling periods of 5 years or more. This fund is suitable for long-term investors, with a moderate risk tolerance, who want reasonable but relatively stable growth.
Assetbase CPI+6% Prescient Fund of Funds
The objective of the portfolio is to achieve a total performance of at least 6% per annum better than the inflation rate over rolling periods of 7 years or more. This portfolio is suitable for moderately aggressive investors, with a bias towards investments with high growth potential which are globally diversified.
Assetbase Global Flexible Prescient Fund of Funds
The objective of the portfolio is to achieve inflation-beating returns in US dollars over rolling periods of 5 years or more. The portfolio manager will continually assess the prospects for global asset classes and reflect this in the portfolio.