Dec 22 2010

Investment Newsletter December 2010

General News

In autumn 2009, following a period of high volatility in all major investment sectors - particularly in equities - we constructed three model portfolios designed to provide exposure to appropriate markets - but with lower volatility than the relevant sector averages.

The three portfolios that we chose initially were:

a) UK Equities,

b) Overseas (i.e. non UK) Equities and

c) Bonds.

For further details please click here.

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