We have all the building blocks to create an offshore portfolio that supports your global ambitions. Operating from Guernsey, Mauritius and South Africa, we specialise in managing cross-border portfolios as part of your customised wealth strategy.

Global equity portfolios

Global Equity Income

BENCHMARK

MSCI World TR Index (USD)

RISK CATEGORY

Aggressive

PORTFOLIO DETAILS

The primary objective is to provide above-average total returns (capital plus income) over a medium to long-term investment horizon, by investing in ordinary shares listed globally. Management will typically not be trading orientated, holding concentrated equity positions reflecting the manager’s best ideas globally and limited to 10% individual positions.

INVESTOR TYPE
  • Seeking long-term global capital and income growth
  • Accepts a level of risk associated with global market fluctuation and potential capital loss
  • Discerning investor looking to invest in a concentrated global portfolio of high-quality shares
  • Typically has an investment horizon of more than five years

Global Equity Focused

BENCHMARK

MSCI World TR Index (USD)

RISK CATEGORY

Aggressive

PORTFOLIO DETAILS

The primary objective is to provide above-average total returns (capital plus income) over a medium to long-term investment horizon, by investing in ordinary shares listed globally. Management will typically not be trading orientated, holding concentrated equity positions reflecting the manager’s best ideas globally and limited to 10% individual positions. The portfolio is characteristically dominated by companies with a global footprint and an impressive track record of growing profits and well entrenched industry market positions.

INVESTOR TYPE
  • Seeking long-term global capital growth
  • Discerning investor looking to invest in a concentrated global portfolio of quality companies reflecting the manager’s highest conviction ideas
  • Willing to accept risk associated with a concentrated global equity portfolio
  • Typically has an investment horizon of more than five years

Global Equity Diversified

BENCHMARK

MSCI World TR Index (USD)

RISK CATEGORY

Aggressive

PORTFOLIO DETAILS

The primary objective is to provide above-average total returns (capital plus income) over a medium to long-term investment horizon, by investing in ordinary shares listed globally. Management will typically not be trading orientated, holding concentrated equity positions reflecting the manager’s best ideas globally and limited to 10% individual positions. The portfolio is characteristically dominated by companies with a global footprint and an impressive track record of growing profits and well entrenched industry market positions.

INVESTOR TYPE
  • Seeking long-term global capital growth
  • Discerning investor looking to invest in a concentrated global portfolio of quality companies reflecting the manager’s highest conviction ideas
  • Willing to accept risk associated with a concentrated global equity portfolio
  • Typically has an investment horizon of more than five years

Global funds

Global High Quality Fund

BENCHMARK

MSCI World Net TR Index (USD)

RISK CATEGORY

Aggressive

PORTFOLIO DETAILS

The fund aims to produce compound total returns in excess of the MCSI World Index over the medium to long term by investing in high-quality companies globally.

INVESTOR TYPE
  • Seeking long-term global capital growth
  • Looking to invest in an actively managed global portfolio of high-quality companies
  • Willing to accept risk associated with a global equity portfolio
  • Typically has an investment horizon of more than five years

Global Balanced Fund

BENCHMARK

65% MSCI World Index Total Return / 25% Barclays Global Agg Bond Index / 10% 90 day US SOFR

RISK CATEGORY

Moderate Aggressive

PORTFOLIO DETAILS

The primary objective is to provide capital growth over the long term.

INVESTOR TYPE
  • Seeking long-term global capital growth
  • Looking to invest in an actively global solution investing in a variety of asset classes seeking to provide growth over the medium to long term
  • Willing to accept risk associated with a high level of exposure to global equities
  • Typically has an investment horizon of more than five years

You can access our global offering in two ways:

  • You can invest directly in our offshore solutions using your foreign allowance, provided you have the required regulatory approval.
  • If direct access isn’t practical or permitted, our asset swap capability offers a seamless alternative – giving you full access to the same investment opportunities.
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