Robust investment process
Our investment process focuses on risk and diversification. It balances quantitative, data driven analysis with qualitative research. The quantitative process is powered by EValue’s powerful actuarial consultancy, our proprietary portfolio optimiser and FE fundinfo’s comprehensive range of fund ratings. Our qualitative research of non-numerical data is applied to the asset allocation, portfolio optimisation and investment selection by our team. It is the combination that provides significant improvements in risk management and drives superior risk adjusted returns.
A range of fund strategies to minimise concentration risk
The Mosaic portfolio range consists of a blend of multiple sub-portfolios in each asset class, each containing a range of fund strategies, delivering a less concentrated portfolio than our FE Investments models and the total holding size ranges from 20 – 45. In each asset class “tile” there is a blend of fund investment strategies which aims to harvest extra diversification benefits. These are re balanced quarterly following an extensive review by our team.
More detail for knowledgeable investors
Mosiac offers more detailed reporting compared to our Hybrid range of portfolios and we still strive to retain our trademark simplicity and clarity of terminology. The portfolios are designed for clients who have more sophisticated understanding of markets and want to delve deeper into the ongoing portfolio management.
The Mosaic range offers 15 portfolios which are term-weighted meaning you can cater to the differing investment objectives of your clients and uses five risk levels spanning three time horizons.
The portfolio management process is dynamic and persistent: the analytical process is ongoing, and we retain the flexibility to implement alterations to the portfolio in order to add value. So, whilst we have quarterly rebalancing points, we can make incremental, value added adjustments.
Ongoing review of the funds is performed by our governance system, which has been developed in-house. We developed this system to monitor risk, performance, behavioural changes and the structure of the funds. Discrepancies in these areas are flagged up for review by our analysts and should we need to adjust our portfolios we can implement changes immediately following a decision. Our team of highly qualified portfolio managers oversee portfolios with strict volatility constraints and flag up concerns to the appropriate review committee for further action.
Be better connected
We host a range of events throughout the year across the UK for advisers and para-planners. From our highly regarded Analytics training to quarterly investment updates our events are designed to help advisers to not only learn more about how our services can help them but to keep up to date with wider industry developments.
Be better informed
Our adviser news and insight blog is designed to give useful insights on how our products and services can assist their organisations and keep them up update with relevant industry news.
Client success stories
We currently work with more 3,500 advisers in the UK, and more than 1,100 fund managers and distributors internationally. Browse our case studies to find out more about how we have helped our existing clients.
FE Investments is a trading name for Financial Express Investments Limited. Registered Office: 3rd Floor, Hollywood House, Church Street East, Woking, Surrey, GU21 6HJ. Registered in England and Wales no. 03110696. Authorised and regulated by the Financial Conduct Authority under number 209967.