The Cantor Fitzgerald Multi-Asset 30 Fund is a risk managed multi-asset fund investing in a diversified basket of investments
Why choose the Multi-Asset 30 Fund?
This actively managed global multi-asset fund aims to grow your money over time with an anticipated exposure of 20% to 40% to return-seeking investments (such as equities, property and alternatives). The remainder is invested in defensive investments (such as cash and bonds). The Fund promotes a range of environmental and social characteristics, and is categorised as Article 8 in accordance with SFDR.
Investment Process
Our proven and robust three-pillar investment process focuses on macro-economic, valuation and technical analysis and we are dynamic in our approach to asset allocation and stock selection.
Factsheet
Multi-Asset 30 Fund Factsheet