About the Manager and Strategy


Growth Risk Score Range: 50 - 90

A risk score in this range represents investors that are comfortable suffering a loss of up to -15% in pursuit of positive returns of up to +23% over a six-month period. This investor is often referred to as a balanced investor.

This portfolio has been compiled by Anthea Gardner. managing director at Cartesian Capital. and endorsed by Gareth Cliff. The investment objective of the Growth portfolio is to provide investors with exposure to the equity market through less volatile and highly liquid shares as well as a 15-20% exposure to less volatile bonds. The combination of fixed income and equity assets makes this a suitable investment for medium to long term investors with >3 years investment horizon. The high level of exposure to shares could lead to volatility of portfolio returns. Cartesian Capital follows a fundamental bottom-up research process with a macro overlay and consideration of liquidity and volatility.

Bundle fee: 1%

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There are no guarantees this targeted return will be earned.

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Bundle Information

RA Investable NO
Launch Date 2017/02/28
Minimum Time Horizon

Percentage and Performance


Management/Bundle Fee 1.00%
TER 0.00%
Estimated TC 0.00%
Estimated TIC 1.00%


* Performance quoted excludes management / bundle fee's
May 2022 0.52%
Last 3 Months 6.69%
Last 6 Months 9.63%
YTD 2.06%
Last 12 Months 13.12%
Last 3 Years N/A
Last 5 Years N/A
Since Inception N/A

Bundle NAV


Since Inception 28.11%
1 Year Volatility 6.05%
3 Year Volatility 9.93%
Best Month 50.94%
Worst Month -28.98%
Maximum Drawdown -34.58%

Sector Allocation

Asset Allocation

Bonds 24.37%
Property 0%
Cash 6.03%
Local Equity 69.6%
Foreign Equity 0%


Here is a list of companies/ETFs that make up this bundle.