This management, based on the principle of guaranteed capital enables you to choose the maximum risk or the minimum yield per annum. The spread of the maximum risk is from 1% to 15%.

The portfolio will be composed of 100% bonds, only the interest will be invested in equities, metals, forex or commodities. The main objective of this strategy is to avoid loss, but to gain maximum profit from the strength of the markets. This strategy portrays the perfect reflection of Forward Capital’s philosophy: limit the risk in the difficult years, and full yield in the better years. This special mandate is perfectly adapted to current times, it is simple to understand, stands out from our competitors, and fully reaches our clients expectations.


Built purely on the wishes and expectations of the client, e.g., commodities , exposed forex, convertible bonds or high yield bonds.