Unbiased Portfolio Management
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Performance

We have 6 models available to match the main client attitude to risk types (the benchmark maximum equity exposure risk is shown in brackets): Absolute (20%); Cautious (40%); Cautious Growth (50%); Balanced (60%); Steady Growth (80%); Equity Risk (100%).



The data has been collated from the past performance of a real portfolio on a fund supermarket and is net of all fund manager, IFA (0.5%) and platform charges. The records are held by UPM but have not been audited. The following chart is for illustrative purposes only and shows the 'Equity Risk' model against the benchmarks of the FTSE All-Share and the ARC Equity Risk indices.



Contact: +44 (0)20 8715 4004     37 Dorset Road, London, SW19 3EZ
Unbiased Portfolio Management is the trading name of Unbiased Financial Group LLP, which is authorised and regulated by the Financial Conduct Authority (FCA) 726137. Legal Information Terms and Conditions.