Our Investment Management provides a portfolio of services with a well designed approach basically hinged on analytical methods that assist in monitoring the performance of different investment securities. Our investment objective is to ensure fund safety in the medium to long-term with a minimum variance structure while optimizing potential returns
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A portfolio that reflects you.
The Multi-fund structure is a framework designed to align the retirement savings of contributors to their risk appetite by maintaining four Funds with distinctly different tolerance for risk. The aggressive fund (Fund I) would have a much higher allocation to variable income instrument than Fund II. Similarly, Fund II’s allocation will be higher than Fund III’s allocation. Fund IV, the retiree Fund will have the lowest allocation to variable income securities.
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