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Overview

The Credo Multi-Asset Portfolios provide investors with diversified exposure to global assets. The portfolios apply Credo’s value orientated investment philosophy across asset classes following a long term and evidence-based approach to investing. Investment decisions are made based on rigorous research, with a focus on diversification and minimising costs.

The ‘Select’ adaptation of the Credo Multi-Asset Portfolios provides investors with a cost-effective means to save for the future, allowing individuals to add small incremental amounts to their portfolios without any dealing or trading costs. The only difference to the standard Multi-Asset Portfolios is that the MAP Select universe is restricted to mutual funds only.

Presentation

The Solutions

Growth 90/10

  • The Growth - 90/10 portfolio has a strategic asset allocation consisting of 90% in equities and 10% in alternatives – the actual portfolio allocation at any point in time will reflect tactical positioning based on prevailing investment opportunities.
Factsheet - GBP Factsheet - USD

Balanced 50/50

  • The Balanced - 50/50 portfolio has a strategic asset allocation consisting of 50% in equities and 50% to other asset classes – the actual portfolio allocation at any point in time will reflect tactical positioning based on prevailing investment opportunities.
Factsheet - GBP Factsheet - USD

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