Individually tailored, segregated, investment portfolio solutions. Pyxis Investment Management partners with its clients to design solution driven investment portfolios, managed on a discretionary basis with the help of our co-pilots: our valued clients and co-investors.
Moderate risk profile
This is a balanced portfolio, focused on an asset mix that provides stable long-term growth, as well as a stable income stream. The portfolio has a moderate risk profile and is appropriate for investors with a 5+ year investment horizon.
Aggressive risk profile
The Growth portfolio aims to generate material capital growth over the long-term. The portfolio invests predominantly in local equities that have a given level of foreign exposure. The bulk of the portfolio’s foreign exposure is achieved through inexpensive offshore equity trackers. The portfolio has a focus on quality stocks with superior earnings growth, cash flow generation and pricing power. Valuation plays an important role; however, the portfolio does not have a ‘deep value’ bias.
The portfolio has a flexible mandate with no prescribed maturity limits of the underlying investments, and composition may change given prevailing macroeconomic conditions.
Aggressive risk profile
The Global Growth portfolio aims to generate material capital growth over the long-term. Returns may be volatile in the short-, to medium-term. The portfolio invests in shares of multinational companies that occupy leading positions within the industries they operate in. The portfolio has a focus on quality stocks with superior earnings growth, cash flow generation and pricing power. Although valuation plays an important role, the portfolio does not have a “deep value” bias.
Pyxis Investment Management (Pty) Ltd, FSP no. 662, is an authorised Financial Services Provider under the Financial Advisory and Intermediary Services Act, 2002.
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