Our Bravo ESG range is an evidence-based, total return portfolio designed using a systematic discipline. It employs asset diversification, combining a passive and multifactor approach which historically provides a smoother investment journey.
Our investment philosophy is based on academic research and the long-term observation of markets and how they work. Built on the same foundations as our Tempo portfolio range, Bravo ESG portfolios implement ESG credentials at the start of the process.
Each portfolio in our range is set to an asset allocation that progressively increases the factors of risk and returns.
The general misconception about ESG investing is that it requires a sacrifice or a compromise when it comes to value. As its name suggests, the Bravo ESG range does not compromise on performance. Bravo is also our way of applauding the actions of the businesses represented in the portfolios, as well as the investors who are making a responsible choice for a sustainable future.
For more information on our Bravo ESG portfolios, please get in touch.
The value of investments and income from them is not guaranteed, can fall, and you may get back less than you invested. Your capital is therefore always at risk. It should be noted that stock market investing is intended for the longer term.