CAM invests on a true multi–asset basis, using a wider range of investment instruments than most Discretionary Investment Managers. We are free from the constraints of managing around a fixed asset allocation and can therefore use a client’s risk budget more broadly.
CAM’s models are mapped to DT and Finametrica and have a 5 year track record.
There are four models available which map to DT3 through to DT6. These mandates aim to outperform, CPI +2% / CPI+3% / CPI+4% / CPI+5% - for simplicity they are named Real 2, Real 3, Real 4 and Real 5.
We have consistently won 5* awards from Defaqto on both model and bespoke investing.
Real return investing is a client outcome focused approach.