London & Capital has launched a range of risk-graded portfolios available exclusively through Novia.
The 10 actively managed portfolios blend traditional funds with ETFs using a range of alternative investments. Each portfolio is aligned to a risk profiling model and will be rebalanced on a quarterly basis, if necessary, to ensure asset allocation remains consistent with the original risk profile. The portfolios can also move to 100% cash in more volatile markets. London & Capital's model portfolio, which uses the same multi-asset approach, has delivered an annualised return of 10% per annum over the 18 year period to end December 2009. "The challenges presented by the RDR means s...
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