Income Generating Portfolios


Moderately Cautious Income

The Portfolio is designed for those clients that have the following long-term investment characteristics:

  • They are not totally risk adverse but are more cautious than most

  • They want to earn a greater income return than would be derived from a cash investment

  • Capital protection is of primary importance

Strategy and Composition

To meet the investment aspirations of Moderately Cautious investors who wish to protect their capital whilst generating an income in excess of cash, we use a risk based, multi asset approach as its central theme with a strategic emphasis on those funds that have demonstrated the ability to protect capital and generate a consistent investment return over the long term.

The investment methodology of each selected fund is considered both independently of, and in conjunction with, other funds in the portfolio to ensure that the overall risk rating, performance and ESG criteria is optimised.

The performance of the portfolio and each fund is reviewed at least monthly by the In Partnership Investment Team and Quarterly by the Investment Committee, and rebalances take place automatically.

 
 

 The Portfolio currently consists of the following funds:

  • 1.
    Aegon Diversified Monthly Income B Inc (20%)

  • 2.
    Artemis Monthly Distribution I Inc (20%)

  • 3.
    Invesco Distribution (UK) Y Inc (5%)

  • 4.
    L&G Multi-Index Income 4 C Inc (5%)

  • 5.
    M&G Emerging Markets Bond I Inc (5%)

  • 6.
    PIMCO GIS Income Inst Hedged Inc GBP (10%)

  • 7.
    Schroder High Yield Opportunities Z Inc (10%)

  • 8.
    Schroder US Equity Income Maximiser L Hedged Inc (10%)

  • 9.
    TrinityBridge Diversified Income Portfolio X Inc (5%)

  • 10.
    TrinityBridge Select Fixed Income Fund X Inc (5%)

  • 11.
    WS Canlife Diversified Monthly Income C Inc (5%)

 The underlying cost of this portfolio is 0.63%, with an income yield of 5.10%

Asset Allocation of the Model Portfolio


Global Equities (ex UK)Global Fixed Income (ex UK)AlternativesEmerging Markets Equities UK EquitiesUK Fixed IncomeCash
 
41% 7% 7% 31% 9% 12%
 

Performance versus the benchmark

 

 

In Partnership Model Portfolios

 

Accumulation Portfolios

Income Generating Portfolios

Passive Portfolios