Service
Cavendish Asset Management is a specialist in the field of investment management, providing expertise and experience to private clients and financial institutions. It adopts a global approach to asset allocation and covers major equity, fixed interest and currency markets.

In today's rapidly changing markets, flexibility is paramount. Cavendish has a team of fund managers who monitor all the world's main markets. Personal knowledge and experience play a key role in their decisions. They have formed strong relationships with a comprehensive web of stockbrokers and investment analysts. This is supported by sophisticated reports and a computer database linked to the major financial markets of the world. Access to constantly undated information enables the fund managers to continuously monitor the markets and then respond quickly to the changing situation or potential opportunity. Stock markets can be volatile . To be successful while minimising financial exposure, an investor needs a diverse portfolio of assets, in order to avoid risks in one particular sector, country or market. Cavendish Asset Management fund managers have the wealth of experience and resources to do this.

Cavendish Asset Management prides itself on its investment relationship and aims to build a strong rapport with new clients. Cavendish understands the individual aims and objectives of clients and is able to tailor suitable financial portfolios to accurately meet them. Irrespective of whether an investor is looking for a tailored asset portfolio or a ready made OEIC, the basic Cavendish principles of good investment return supported by excellent customer service, remain the same.

Clients receive an excellent administration service. The investor is given regular performance updates and significant changes are reported immediately.



Please remember that past performance should not be seen as an indication of future performance. The value of shares and units and the income from them may go down as well as up, and investors may not get back the amount they originally invested. Changes in rates of exchange may also cause the value of investments to go up or down. The Cavendish AIM Fund invests in securities issued by smaller companies and the market for these securities may be less liquid than the market for securities issued by larger companies. Clients of Cavendish Asset Management may hold investments in some of the companies mentioned on this website and in the attached publications.

Cavendish Asset Management Limited is authorised and regulated by the Financial Services Authority.