Irtiza Majeed uses a strategic passive investment strategy. This means that asset allocation is the primary focus in determining the overall risk and return of the portfolio. The asset allocation has a truly global focus that aligns with investment strategy. This portfolio is designed to generate higher consistent returns through risk diversification and hedging whilst generally avoiding leverage, short positions, and high-fee instruments to minimise fees. The portfolio maintains a low-risk score through adopting a multi-strategy approach, which seeks to maximise the upside potential from various market forces and conditions. The portfolio benefits from a combination of fundamental growth, technical analysis, and macro indicators.


Meticulous Analysis

Strong fundamental and technical analysis

Risk Diversification

Controlled risk management

Long Term Growth

Long-term compounded growth for a higher consistent return

Minimum fees

Avoid short-positions, leverage, and high fee instruments