Balanced Management: |
Please contact the sales representative serving your area to receive a complete Balanced Management Product kit. Top 10 Holdings Philosophy Berkeley Capital Management LLC’s Balanced investment philosophy is based on the belief that equities are the preferred asset for achieving superior returns. However, the optimum balance of potential returns and risk can vary significantly over the course of a business cycle, and value can be added by adjusting the allocation between stocks and fixed income securities. We offer Balanced portfolio management investing in stocks, bonds, and money market instruments, which may be appropriate for accounts seeking capital appreciation with less volatility. Investment Process Our standard Balanced portfolios are 60%/40% (stocks/bonds) with the equity portion of the portfolio varying within the range of 40% to 80%. Specific allocation guidelines are established for each client. Our Balanced management seeks to make timely shifts utilizing proprietary models and qualitative judgments. The proprietary process is based on integrating three investment approaches: fundamentals, valuation and market behavior analysis. The focus in each approach is as follows:
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