We don’t aim to beat the market over every time period. Instead, we believe that medium to long term performance is delivered through a consistent, steady return. The investment solutions target growth or income, or a mixture of both.
Brontë Investment Solutions determine the overall asset allocation for each investment outcome. From this initial allocation, the fund managers derive model portfolios, each designed to target a different level of potential risk and return. To capture a wide variety of investments available in the market, Brontë also considers the multi- asset funds and passive investments.
By utilising Brontë Investment Solutions outcomes, we are also able to offer ethical funds and specialist funds. Finally, where appropriate we have the facility to offer our clients a truly bespoke portfolio management service.