Dealing with Market Volatility

It has been a complex time since the 2008 Banking Crisis. Looking back, it we are pleased to annoice that our clients investments fared well through

  • 2008 Banking Crisis;
  • 2010-12 Euro crisis;
  • 2016 Brexit

This is because our robust Investment process produced widely diversified portfolios which greatly reduced volatility which resulted in manageable short term losses followed by a steady upward recovery. Our aim is to generate positive returns at the lowest possible level of volatility.

It enables us and our clients to sleep well at night in a mad world of central bank policymaking!

John Morten
Managing Director