HS Global Aggressive
Maximum long-term capital appreciation through a well-diversified portfolio largely consisting of equities, property and alternative assets across geographical regions.
Time Horizon
7+ years
Target Return
U.S. inflation + 6%

Key Features
- Maximum long-term capital appreciation
- Well-diversified portfolio across geographical regions
- Focus on equities, property and alternative assets
- Core satellite portfolio construction approach
Investment Strategy
To achieve the investment objective, the model invests in a well-diversified portfolio largely consisting of listed equities, listed property and alternative assets across geographical regions and uses a core satellite portfolio construction approach in order to establish an optimal risk-controlled solution while aiming at outperformance in the longer term.
Investor Profile
The model is aimed at investors with a long-term (7 years or more) investment time horizon. It is best suited for investors who can accept moderate to high levels of volatility in capital movements within the short term but seek returns in excess of U.S long term inflation plus 6% (in $ terms) over a rolling 7-year period.
Key Features
Target Return
U.S. inflation + 6%
Returns in excess of U.S. inflation + 6% over a rolling 7 years period.
Changes in the USD/MUR exchange rate may have an effect on the value of the investment.

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