Nexus Global Portfolio

We live in a Global Economy and our prudent investors are alive to this fact – they therefore demand a diversified global approach and believe this to offer the greatest opportunity for long-term capital growth.

A team of investment professionals actively manages the Nexus Portfolios – the objective being to continually strive to grow your wealth and protect it on the downside.

  • The management team closely monitor all aspects of asset allocation
  • Funds invested globally via major market economies
  • Actively managed
  • Fully regulated Malta UCITS IV and V structures
  • Strong and Robust risk management

Nexus Global Solutions Portfolio

Our flagship portfolio was designed with you in mind. Our aim is to provide you with capital growth and protection over the medium term and irrespective of what takes place in the markets. How do we do it? Well we need to have detailed research into individual securities along with a macro economic understanding – this together allows us to construct a highly liquid, diversified and adaptable portfolio with the ability to move under any market condition.

Key Features

  • Multi-asset approach covering most asset classes
  • Investing in a wide range of growth and defensive assets
  • With a focus on major developed economies
  • Funds invested globally via major market economies
  • Actively managed
  • Fully regulated Malta UCITS IV structure
  • Strong and Robust risk management

Nexus Global Dynamic Portfolio

As the name implies, this portfolio is an actively managed, global equity portfolio. This solution aims to maximise on seeking out growth in equities and is therefore intended for capital appreciation.

Key Features

  • Growth sought through investments in global equity markets
  • Focus on major developed economies and selectively to growing economies
  • Highly liquid
  • A Dynamic Equity asset allocation 

Nexus Global Income Portfolio

The Nexus Global Income Portfolio is aimed and minimising risk and maximising returns. Investment is made into sustainable businesses where the model, dividends and bond coupons provide a better chance to survive a downturn of financial markets and who show high profitability, durability, simplicity and competent management.

Key Features

  • Targeted income of 4-4.5% p.a. paid twice-yearly
  • Income and Accumulation units
  • Highly liquid equity portfolio
  • Long only investment strategy

 

 

We have monthly video updates on the Nexus Global Portfolio Range. See the latest videos below:

Nexus Global Solutions and Dynamic Update

 

Nexus Global Income Update