Managed portfolio - Core

Information

This portfolio is meant for the risk adverse investor, who wants to see steady gains with minimal volatility. This investor may also wish to access some of his/her capital from time to time with minimal notice period. This portfolio will emphasize income generating funds, gold and a modest exposure to equities. Based on past performance, we would anticipate a ~9% annual return with ~6% annualized volatility of returns over time.

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