STRATEGIES

We have created basic building blocks that would be combined to create different solutions that would put different investors in a position to use them as the foundation as their investment planning. We combine different investment strategies across various investment styles and all the asset classes.

Making use of Alternative and Conventional investment styles, which we blend to create a more predictable outcome investment solution that is not available on the convention able investment platforms.

The different strategies could be combined to create different solutions for each investors personal requirements. Below is the list of different strategies that could be used for these solutions.

Strategy
Product
Asset Class
Solution
Time Horizon
ALTERNATIVE

Annual Fixed Return Growth

Solution that provides a 75% return at the end of the term.

Fixed Interest

11.80% Annual Compunded

5 Year

Fixed Interest Fund of Funds

A  fund of funds approach consisting of a portfolio of alternative asset management portfolios focussed on generating  an above average fixed interest return.

Fixed Interest

10% – 12% Annual Yield

5 Year

AGRI Focussed Shariah  Portfolio

A Shariah comliant portfolio focussed on the Agriculture sector, it generates  above average profits which are shared bi-annually.

Profit share

10% – 12% Annual Yield

5 Year

Fixed Interest AGRI Focussed

A portfolio focussed on the Agriculture sector, generating  an above average return that is payable on a bi-annual basis

Fixed Interest

10% – 12% Annual Yield

5 Year

Capital Guaranteed Growth

A portfolio focussed on the Agriculture sector, generating above average returns that are distributed bi-annually. This portfolio has a capital gurantee over the 5 year period

Growth

9% – 11% Annual Yield

5 Year

Balanced Range

A choice of three solutions:

The underlying asset allocation between fixed interest and equity strategies ranges, thus creating the different solutions

Growth

5 Year

Balanced – High Equity

This fund has a 70% equity exposure  being allocated to Long/Short Hedge fund of funds and is then combined with a 30% allocation to a  fixed interest Alternative fund of funds portfolio.

The equity allocation is focussed on outperforming the Capped Swix Index by 2% to 3% annually while the fixed interest allocation is focussed on an annual return of 12%.

Growth

Benchmark: 14% annual growth

5 Year

Balanced – Medium Equity

A blend of 50% equity exposure to a Long/Short Hedge fund of funds and 50% allocation to an alternative fixed interest fund of funds portfolio.

The equity allocation is focussed on out performing the Capped Swix Index by 2% to 3% annually while the fixed interest allocation is focussed on an annual yield of 12%.

The portfolio is designed and focussed on clients that prefer lower volatility.

Growth

Benchmark: 13% annual growth

5 Year

Balanced – Low Equity

A blend of 30% equity exposure to a Long/Short Hedge fund of funds  and 70% allocation to an alternative fixed interest fund of funds portfolio.

The equity allocation is focussed on outperforming the Capped Swix Index by 2% to 3% annually while the fixed interest allocation is focussed on an annual yield of 12%.

The portfolio designed for clients with a very low volatility tolerance.

Growth

Benchmark: 12% annual growth

5 Year