+44(0) 207 838 8650 enquiries@scmdirect.com
MoneyShe

PortfoliosSCM 50/50 Bond Reserve / Long-Term Return

Overview

Portfolio commenced 24 October 2014

OBJECTIVE:
To outperform inflation.

STRATEGY:
Actively managed with a long-term bias to real assets e.g. equities. The Portfolio normally invests in a wide range of ETFs to gain significant diversification and exceptional liquidity at very low cost.

Asset allocation

Bonds 64.8%

Equities 34.9%

Cash 0.3%

Learn more