MGTS Clarion Prudence Portfolio X Inc
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The MGTS Clarion Prudence Portfolio seeks to balance capital growth and income by investing at least 70% in a diverse array of regulated collective investment schemes across multiple sectors and regions. It maintains equity exposure between 20% and 60% through direct holdings or these collective investments. The portfolio is built on a strategic asset allocation framework that adapts over time, with the management team actively adjusting investments based on evolving global market conditions to achieve its balanced growth and income objectives.
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active managementbalanced fund
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OTHER SHARE CLASSES OF THIS FUND
MGTS Clarion Prudence Portfolio P Inc
MGTS Clarion Prudence Portfolio P Inc
MGTS Clarion Prudence Portfolio P Inc
Annual Return
-50%0%+50%
Risk level
110
0.27%GBP 1.85
MGTS Clarion Prudence Portfolio P Acc
MGTS Clarion Prudence Portfolio P Acc
MGTS Clarion Prudence Portfolio P Acc
Annual Return
-50%0%+50%
Risk level
110
0.27%GBP 2.16
MGTS Clarion Prudence Portfolio X Acc
MGTS Clarion Prudence Portfolio X Acc
MGTS Clarion Prudence Portfolio X Acc