abrdn Australia Limited

CPI +5% Portfolio

The model portfolio will apply dynamic asset allocation to a diversified portfolio of traditional and alternative assets utilising both listed and unlisted investments. The portfolio does not target a particular asset allocation and may shift its investments quickly and significantly, based on valuations and expected returns, and may completely divest from a particular asset class. Portfolio volatility will be controlled through the use of dynamic asset allocation and effective diversification of assets.

Suitable for investors who:

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Seek a medium to high return above inflation with a medium to high tolerance for risk;

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Seek a portfolio diversified across a range of different asset classes; and

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Want a portfolio where the asset allocation is actively managed based on changes in market valuations

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