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.

Partners

Assetbase enters into strategic partnerships in order to enable it to keep costs as low as possible and to offer the best possible service to every client.

INVESTMENT PHILOSOPHY

We believe in designing well-diversified portfolios, giving investors access to appropriate asset classes that have the highest probability of achieving long-term investment goals.

ABOUT US

Assetbase is an independent investment management company. We construct portfolios by conducting in-depth research of asset allocations to achieve specific objectives.