INVESTMENT
PHILOSOPHY

At Quilter Cheviot, we are firm believers in active investment management. We provide fully diversified multi-asset portfolios, designed to deliver superior risk-adjusted returns for longer-term investors.

We believe the best way to meet the challenges of today’s dynamic market environment is through a carefully controlled investment framework that combines the skills of a dedicated research team with those of experienced investment managers.

Diversification

Investment houses have become increasingly categorised as “value”, “growth” or “alternative”. We believe the best results come from a mix of styles adapted to the market cycle. Our objective is to identify future trends and give these due emphasis within portfolios.

At a strategic level, our portfolios are centred on the long-term returns expected from asset classes, enhanced by exploiting market inefficiencies. We also make active, shorter-term, tactical asset allocation decisions.

Would you like to know more?

Do you have a client in mind? Would you like to know more? Come and speak to us or download our brochure.

Subscribe to Diary of a Fund Manager

Get the inside view from Quilter Cheviot Investment Director, David Miller, in this award-winning weekly diary.

Award-winning Investment Director

Winner of Wealth Manager of the Year– City of London Wealth Management Awards 2017

Gold Rating, Diary of a Fund Manager – Portfolio Adviser Wealth Manager Awards 2017

Winner, Outstanding Achievement – City of London Wealth Management Awards 2016