Multi-Asset Portfolios ESG

The Credo Multi-Asset Portfolios ESG (MAP ESG) follow an evidence based approach to investing, providing investors with diversified exposure to global assets through a selection of funds and ETFs.
Multi-Asset Portfolios BrochureFunds are selected using Credo’s in-house selection process and offered as four solutions targeting various levels of equity exposure. Portfolios are available in both GBP and USD.
You prefer lower risk investments but are willing to accept small downside risk to your capital in order to achieve a higher potential return than cash deposits.
You are willing and able to assume a moderate amount of capital risk, but with a lower allocation to growth assets and a focus on reducing potential downside.
You are willing and able to accepts short term volatility as a trade-off for higher potential returns. This portfolio has a large focus on the potential growth of capital over the long term.
You are willing and able to take significant risk to increase the return-generating potential. This is the most growth orientated profile and may be subject to substantial short term volatility.