Eight professionally-structured model portfolios spanning UK, European and global markets — from capital-preservation strategies to aggressive growth. Each shows its full asset allocation, expected return, volatility and fee.
Every portfolio is risk-graded and shows its complete allocation, expected return, volatility, minimum investment and management fee.
Side-by-side comparison of risk, expected return, minimum investment and fees.
| Portfolio | Region | Risk | Exp. Return | Min. Investment | Fee |
|---|
Pick a model portfolio or build your own from 28+ instruments. Open your account in minutes.