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How does Foord manage risk in the Foord Flexible Fund?

Dave Foord discusses how diversification is used to manage risk in the Foord Flexible Fund.

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What hedging strategies are employed in the Foord Flexible Fund especially on currency risk?

Dave Foord discusses what hedging strategies are employed in the Foord Flexible Fund, especially on currency risk.

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Explain the Foord Flexible Fund's seemingly high current equity weight of 75%

The amount of equity holding in the Foord Flexible Fund may appear very high, Dave Foord explains the reasoning behind this.

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Why has the Foord Flexible Fund underperformed in the last year?

Dave Foord discusses the reasoning behind the underperformance of the Foord Flexible Fund in the last year.

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Can the Foord Flexible Fund beat its inflation +5% benchmark in the next 5 years?

Dave Foord discusses the prospect of the Foord Flexible Fund beating inflation by 5% in the next 5 years.

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What are the respective mandates of the Foord Flexible and Foord Balanced Funds?

Dave Foord discuss the respective risk mandates of the Foord Flexible and Foord Balanced Funds.

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Small and mid caps. Runway for growth.

Small caps often present great opportunities for nimble investors. Portfolio manager, Wim Murray, shares the characteristics of these smaller companies that can often lead to opportunities.

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Conflict in Ukraine. Commodities. And what this means for South African investors.

News outlets are filled with daily updates on the conflict in Ukraine. Portfolio manager, Mike Townshend, looks at what impact this conflict is having on commodity markets and how this might affect investors in South Africa.

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Harnessing the power of patience and flexibility in investing

In this podcast portfolio manager Nick Balkin discusses how Foord harnesses the powerful combination of patience and flexibility to reduce the risks for investors.

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