Asset Management thru a High Quality Mix Fund

“The stock market is filled with individuals who know the price of everything, but the value of nothing.” – Philip Fisher

  • Focus on High Quality Investments, including Tech Stocks
  • Capital Growth at an Acceptable Risk
  • Alternative and/or Addition to General Asset Management
  • Buy and Hold Strategy with focus on hedging risk
  • Focus on Earnings and Dividend Track Record

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The investment objective of this High Quality Mix Value Fund is to achieve a consistently superior, risk adjusted long-term absolute return at below market volatility.  The fund aims for an average annual return on the long-term (10-15 years) of at least 7%, after deduction of all costs.  The strategy targets long-term, moderate-risk, diversified investments in various asset classes, such as high dividend stocks and bonds combined with a tailored derivatives strategy. This fund is an excellent addition or alternative to general asset management due to its “mix” of Equities and high yielding bonds.  The founder and manager has an impressive, long-term track record in protecting and growing capital.

For more information, contact +31624611846 // e.klaver@kpvalue.com