The Cantor Fitzgerald Multi-Asset 50 Fund is a risk managed multi-asset fund investing in a diversified basket of investments
Why choose the Multi-Asset 50 Fund?
This actively managed global multi-asset fund aims to grow your money over time with an anticipated exposure of 40% to 60% 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.
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.
Multi-Asset 50 Fund Factsheet
We are Cantor Fitzgerald
Chief Investment Officer
Pearse is Chief Investment Officer at Cantor Fitzgerald Asset Management Europe and has 25 years’ experience in the investment industry. Prior to joining Cantor Fitzgerald, Pearse worked as a fixed income fund manager at Hill Samuel Asset Management in London. He joined Merrion Investment Managers from GE RE Management Services, where he headed up the investment team. Pearse holds a BA in Economics from Trinity College Dublin and is a member of the CFA UK.
Deputy CIO, Head of Equity Investments
Phil is the Deputy CIO: Head of Equity Investments with over 15 years’ experience in the industry. He previously worked as a fund manager at GLG Partners and as an equity trader for Deutsche Bank. Phil holds a BA in Business and Finance from Trinity College Dublin and an MSc in Investment Management from Cass (now Bayes) Business School, London City University.
Head of Technical Analysis
Conor is Head of Technical Analysis with over 15 years’ investment experience. He’s also one of three senior portfolio managers. Previously he held roles at Pioneer Alternative Investments, Bloxham, and Positive Equity. He is a Chartered Market Technician and Chartered Financial Analyst (CFA Institute) - currently the only person in Ireland to hold both designations. He also holds a BSc in Business Studies (Finance) from Technology University Dublin.
Diarmaid is currently our Investment Analyst at Cantor Fitzgerald Asset Management Europe. He was previously an equity analyst at AGF Investments, an investment risk analyst at Mediolanum Asset Management, and held roles at Geneva Trading. Diarmaid holds a BA in Business and Economics from Trinity College Dublin and is also a chartered financial analyst (CFA Institute).
Head of Sales & Marketing
Kevin is Head of Sales and Marketing, with over twenty years’ industry experience in business development and client servicing. Kevin has overall responsibility for all sales and marketing functions in the retail and institutional markets. Kevin’s previous roles include sales director for Ireland at Mirabaud Asset Management, and business development director at Aviva Investors, Ireland. Kevin holds a degree in Economics and English from University College Dublin, and a Postgraduate Diploma in Marketing Management.
Head of Business Development
Fearghal is Head of Business Development with over 20 years’ experience in the investment industry. He previously worked with European asset manager Dexia Asset Management and Bank of Ireland Asset Management in sales and relationship management roles. He was also sales and distribution director at Davy Asset Management, servicing both the Institutional and financial adviser markets in Ireland. Fearghal is a qualified accountant (FCCA) and a qualified financial advisor (QFA), and holds a BA in Business and Legal Studies (BBLS) from UCD.