Portfolios built with BlackRock and managed by BCP Global.
Portfolios for each profile
Globally diversified Fixed Income portfolio that seeks to achieve optimal risk-adjusted returns over the long-term with a low risk level budget and 100% fixed income exposure.
Globally diversified Multi-Asset portfolio that seeks to achieve optimal risk-adjusted returns over the long-term with a conservative risk level budget and an equity range exposure of 10-30%
Globally diversified Multi-Asset portfolio that seeks to achieve optimal risk-adjusted returns over the long-term with a moderate risk level budget and an equity range exposure of 50-70%
Globally diversified Multi-Asset portfolio that seeks to achieve optimal risk-adjusted returns over the long-term with an aggressive risk level budget and an equity range exposure of 70-90%.
Globally diversified Equity portfolio that seeks to achieve optimal risk-adjusted returns over the long-term with a high risk level budget and a 100% equity exposure.
Ideal for investors looking for a simple option to start investing in a globally diversified way. It is also an option for investors that for tax purposes prefer to have a more passive portfolio solution.
A sophisticated and active option for investors seeking returns through geographic and financial instrument diversification. These portfolios are designed to provide investors with global diversification across sectors and countries to take advantage of return opportunities in both debt and equity securities. They are rebalanced quarterly to capture returns based on the global macro financial situation.
For investors who consider sustainability criteria to be key in their investments. These globally diversified portfolios pursue a long-term return according to the investor's expected risk, considering ESG criteria and sustainability in investment decisions. Exposure is given to companies with strong ESG characteristics, while maintaining similar risk and return goals to traditional portfolios. All portfolios have holdings in globally diversified assets and are subject to quarterly strategic rebalancing.
This portfolio provides investors with the opportunity to invest in sectors and countries that benefit from structural changes in global dynamics: megatrends. It offers exposure to different themes identified by BlackRock as those that will impact all companies in one way or another and that will modify the current dynamics of the global economy. Some of these themes are:
The primary goal of this portfolio is to pursue long-term performance by continuously analyzing short-term indicators, to take advantage of opportunities with a shorter time horizon. These indicators may signal necessary changes in the portfolio's composition by maintaining a strategic exposure to different sectors and countries that benefit from structural changes in global dynamics.
To learn more about our sophisticated portfolios that follow models built with BlackRock, please contact us