SUMMARY
Description |
The 1OAK MA80 Strategy is a multi asset strategy that includes equities, bonds and other liquid alternative assets |
Objective |
The strategy aims to offer capital growth over the medium term with a higher level of risk |
Target market |
The strategy has been developed to be used within investment products that are held by clients with a higher or “adventurous” attitude to risk who are prepared to accept a greater level of volatility and risk to their capital in exchange for the possibility of high returns |
Expected volatility |
11% to 15% |
Risk Rating |
|
Benchmark |
80% Global Equity (MSCI All Countries World Index) 20% Global Bonds (Barclays Bloomberg Global Aggregate Index) |
Base Currency |
GBP |
Investment Manager |
1OAK Capital |
View the MA80 Fund |