CG Management approach differs to that of other portfolio managers in a number of ways:                 

1. We are totally independent in the application of our investment processes 

2. We deliver consistent risk-adjusted returns 

3. Our focus is on absolute rather than relative returns 

4. We are willing to work on performance-related fees

5. We specialize in Hard Asset and Offshore investments 



W e    O f f e r    a n d    P r o v i d e:

Enhanced returns - accessing out performance from sector specialists 

Diversification - of holdings as well as investment style and strategies 

Reduced risk/volatility - smoother performance as a result of the above 

Increased opportunities - access to particular expertise and strategies 

Efficiency - lower entry costs and returns net of all fees.