Hawthorn Portfolio Fund Class A Net Income Units
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The Hawthorn Portfolio Fund seeks to grow capital by primarily investing 60% to 100% in a diverse range of global equities, allowing for flexibility to include various sectors and markets. Additionally, the fund allocates up to 40% of its portfolio to fixed income assets such as bonds and government securities, as well as alternative investments like gold, commodities, and property. Cash and other transferable securities, including money market instruments and warrants, may also be part of the portfolio. The investment mix is actively adjusted by the managers based on their assessment of economic and market conditions, ensuring adaptability to different financial environments.
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