Prudent investors know we live in a global economy and therefore a diverse global approach to investment is likely to provide the best opportunities for long-term capital growth.
The Nexus Portfolios are actively managed, with the assurance that a team of investment professionals are continually striving to both protect and grow your wealth.
The Nexus Global Solutions Portfolio is designed to protect wealth and provide capital growth over the medium-term, irrespective of market conditions. An understanding of macro economic conditions together with detailed research into individual securities is used to construct a diversified, highly liquid portfolio, able to adapt to a broad range of market conditions.
The Nexus Global Dynamic Portfolio is an actively managed, globally diversified, equity portfolio. The aim is capital appreciation.
The Nexus Global Income Portfolio is aimed at 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.