At Quilter Cheviot, we understand that there are several reasons you might want to invest. So, we put your goals and expectations at the heart of our investment philosophy.
Our philosophy is founded on a belief in the active management of your investments. This gives us the flexibility to quickly respond to and take advantage of market changes.
We believe in investing in a range of diverse, uncorrelated asset classes (known as diversification). Having a well-diversified portfolio spreads the risk across your investments, so if one asset type performs badly, the overall performance of your portfolio should be supported by the others.
Our investment process
Your individual needs are paramount to our Investment Managers. They are closely involved in the whole investment process, from meeting company managements to assessing investment themes. Your Investment Manager is also guided by our internal investment committees – experienced professionals who meet regularly to discuss the investment environment and any opportunities and risks that have been identified.
We have a unique investment process that is agile and flexible, so you can keep ahead of today’s constantly changing markets.
Our investment process delivers:
1. Rigorous investment framework
Bringing together our dedicated research teams and Investment Managers for optimum, risk-adjusted potential returns.
2. Long-term returns
Portfolios centred on long-term returns enhanced by exploiting market inefficiencies and active, shorter-term, tactical asset allocation decisions.
3. Forward-looking investment process
Our process combines our top-down view with bottom-up recommendations generated by our in-house analysts and Investment Managers.
4. Due diligence
The reassurance that all investment opportunities are subject to a robust due diligence process and review by our investment committees.
5. Research expertise
Access to our dedicated in-house research team finding and validating the best investment opportunities.
6. Investment styles
A mix of investment styles adapted to the market cycle giving due emphasis to future trends within portfolios.