Financial Services - Randburg, Gauteng, South Africa
Noble's unique multi asset, multi manager investment methodology aims to deliver returns in excess of those offered by traditional investment funds, by the careful and active allocation of the portfolio across all asset classes, combined with the active selection of the best performing underlying fund managers. The principal problem faced by clients today is how to allocate investable funds between the various asset classes available in order to achieve a return in excess of simply keeping cash on deposit. The past five years has clearly shown that the majority of any risk adjusted return is created as a result of investing in the correct asset class. Investing in just one asset class carries with it a higher degree of risk and Noble therefore adopts an active asset allocation policy that ensures investments across a spread of asset classes that offer the best risk adjusted return. In addition, Noble's fund management team uses a research intensive process to find value and aims to select only the best performing funds for each asset class which are then analysed on an ongoing basis.
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