What We Do

Multi Asset Strategies

These strategies are currently only available for sale in the Republic of Ireland.

KBIGI Innovator Strategy

KBIGI Innovator Strategy

The investment objective of the Innovator Strategy is to provide investors with exposure to alternative, ‘innovative’ investment themes to which they would not already have exposure. The Strategy seeks to capture the major investment themes and trends of current and future investment markets. KBI Global Investors has identified the following long-term secular trends which we believe offer attractive investment opportunities for our clients and which underpin the Strategy's investment philosophy: The spiralling global demand for scarce resources such as food, energy, water, commodities. The need for the global economy to adapt to reduce carbon emissions. The impact of population growth, urbanisation and emergence of new consumers in developing economies. The Strategy is designed to generate high alpha and has a relatively high tracking error.

If you would like to find out further information please click on the “Request info” button below to speak to a member of our team.

KBIGI Managed Strategy

KBIGI Managed Strategy

The investment objective of the KBIGI Managed Strategy is to achieve long-term capital growth. The Strategy is structured as a fund of funds and seeks to achieve its objective by investing primarily in a range of global equities, bonds, alternative investments, and cash with weightings determined by KBI Global Investors’ relative assessment of potential returns, valuation and risk for each of the asset classes. Our approach to equity investing is to create highly diversified portfolios targeting quality companies that pay higher dividends than their peers.

If you would like to find out further information please click on the “Request info” button below to speak to a member of our team.

KBIGI ESG Managed Strategy

KBIGI ESG Managed Strategy

The ESG Managed Strategy had been established for the purpose of marketing to charities and the principal investment objective of this strategy is to invest in a mixture of fixed income securities and international equities, while taking account of environmental, social and corporate governance factors when selecting underlying holdings. The strategy seeks to provide some element of capital growth balanced by a reasonable degree of security.

If you would like to find out further information please click on the “Request info” button below to speak to a member of our team.