Multi-manager investing, or third party fund selection, has long been a core competency of our wealth management proposition, with funds being used for specialist and geographic areas where we recognise that superior expertise and knowledge is required.
Investors can benefit from our long standing experience in this discipline either via a segregated account or, for more flexibility, via our range of carefully managed investment funds, each with their own specific risk and return objectives.
The Select Fund range provides investors with exposure to multiple asset classes including equities, bonds, commodities and alternative investments. The spread of assets is dictated by the investment and risk objectives of each fund. Through our active asset allocation we aim to take advantage of the changing opportunities in each asset class to improve clients' returns and diversify risk.
We offer a variety of multi-manager funds with differing risk and return attributes in order to meet your specific needs.
|Select Funds||Investment Objective||Fund Domicile||More...|
|CGWM Select Income||Low-medium risk, income producing||Dublin||More...|
|CGWM Select Diversity||Low-medium risk||Dublin||More...|
|CGWM Select Affinity||Medium risk||Dublin||More...|
|CGWM Select Opportunity||High risk||Dublin||More...|
|CGWM Select Global Diversity||Low-medium risk||Dublin||More...|
|CGWM Select Global Affinity||Medium risk||Dublin||More...|
|CGWM Select Global Opportunity||High risk||Dublin||More...|