Ashburton understands that everyone has individual aspirations and risk appetites. Our range of funds and portfolios are built around a solid set of principles which aim to minimise risk and provide solid and consistent performance through an actively managed approach.
Multi Asset Funds
Ashburton offers two ranges of Multi Asset Funds. Our flagship Asset Management Service is suitable for an investor looking to achieve real long-term growth of capital, accepting a moderate degree of risk.
The second range is designed to generate capital growth using a broarder range of assets via three different risk strategies - Cautious, Balanced and Aggressive.
We offer a range of Regional and International Equity Funds. These higher risk funds are unconstrained relative performance funds. We run them with the same commitment and active management style as our other funds and portfolios and, although they are compared to a benchmark, they are not limited by it.
Money Market Funds
These range of Funds is suitable for a cautious investor prepared to accept only a minimum amount of risk. Our Money Market Funds designed to achieve enhanced returns over a bank deposit and some capital growth.
Ashburton offers a truly innovative portfolio, designed to suit your individual needs. We aim to protect your capital when market conditions are unfavourable, and grow it when there are attractive opportunities. We combine an impressive track record with outstanding personal service.