CPN Funds2024-03-26T15:08:26+00:00

CPN Funds

At CPN we run 2 Multi-Asset funds (each with over 5000 underlying holdings).

Our Funds

At CPN we manage a range of modern multi-asset funds. This includes both an equity-based and a bond-based multi-asset vehicle. To create our MPS risk-rated portfolios, we blend our two multi-asset funds in different proportions to create risk-rated portfolios from Very Conservative up to Adventurous.

IFSL CPN Global Opportunities Fund

GLOBAL EQUITIES

The CPN Global Opportunities Fund invests entirely in globally diversified equity holdings.

The fund will look for high-growth opportunities in both the UK and international markets. This includes both geographic allocations, and also thematic opportunities such as technology and healthcare.

IFSL CPN Defensive Strategy Fund

GLOBAL BONDS & ALTERNATIVES

The CPN Defensive Strategy is a fund looking for cautious growth through exposure to fixed income and alternative assets.

The fund mostly invests in government and corporate bonds, looking at varying yields, dates, and links to inflation. Some of the fund is also allocated to alternative asset classes like commodities and money market funds.

IFSL CPN Global Opportunities Fund

GLOBAL EQUITIES

The CPN Global Opportunities Funds invests entirely in globally diversified equity holdings.

The fund will look for high-growth opportunities in both the UK and international markets. This includes both geographic allocations, and also thematic opportunities such as technology and healthcare.

IFSL CPN Defensive Strategies Fund

GLOBAL BONDS

The CPN Defensive Strategy is a fund looking for cautious growth through exposure to fixed income and alternative assets.

The fund mostly invests in government and corporate bonds, looking at varying yields, dates, and links to inflation. Some of the fund is also allocated to alternative asset classes like commodities and money market funds.

Recent Insights

Read the latest market insights from the CPN Investment Team and how our fund management is optimizing returns for clients in the market.

World Market Review February 2024

Good economic data and strong corporate profits took markets by surprise in February, and pushed back expectations of rate cuts until the summer. This led to an odd market bifurcation, as bonds fell on higher rates, while stocks rose

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