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By PWM Editor

“There has been a increase in risk aversion, with smaller companies, emerging markets and higher yield corporate bonds all under pressure. Bonds do not yet look attractive. Subject to the risk on oil prices, equity market valuations appear reasonable as earnings growth continues to surprise on the upside.”

Amount (E) Fund

16,575 Gartmore CSF Continental Europe (large cap)

14,500 Fidelity Funds European Bond Fund

12,500 Gartmore CSF European Bond

11,675 Investec GSF Continental European Equity

11,650 Henderson Horizon Continental European Equity

10,000 Baring European Bond Fund

5375 Credit Suisse USA Equity

5375 GAM Star American Focus (equity)

3200 Lazard UK Equity

2650 Mellon Newton Asian Equity Portfolio

2500 Findlay Park US Smaller Companies

2000 Martin Currie Japan Fund (equity)

2000 Cash

Global Private Banking Awards 2023