Rather than use a traditional Risk Profile Questionnaire we aim to understand what level of investment risk is appropriate to you and your investments through Behavioural Finance Analysis. The behavioural model delves into your financial personality and aims to get a better sense of your attitudes, preferences and tolerances.
Uniquely, the model employs a more sophisticated approach to determining risk tolerances and amalgamates attitudes and preferences into a single, proprietary Integrated Risk Factor score. Furthermore, the approach deals robustly with the often ignored link between risk tolerance and investment time horizon.
Overall we believe it provides our clients with a superior portfolio to any other method available.