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Capital Protection
RISK TOLERANCE: Low to Moderate
EXPECTED RETURN: 3%-6%
INVESTMENT HORIZON: 2-5 years
KEY INVESTMENT BENEFITS:
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Low volatility
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Stable & regular returns (coupon payments)
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Stable growth& moderate capital gains
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Relatively liquid asset classes
Asset Allocation
Asset mix is consistent of liquid investments and fixed income instruments, acknowledging your investment horizon and currency preferences.
Investment Products

LIQUIDITY:
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Cash
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Money market instruments
BONDS
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Government bonds
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Corporate bonds
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Emerging market bonds
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Inflation-linked bonds
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Bond funds
INDICATIVE BANDWIDTH
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