London & Capital is rolling out the second tranche of its capital-protected Multi Asset Rainbow Plan.
The six-year plan - managed by Keydata - offers exposure to global equities, commodities and property, biasing the holdings towards of the best-performing assets. The Multi Asset Rainbow Plan II's retrospective feature applies weightings to the individual asset class returns dependent on performance, with 50pc to the best-performing asset class, 30pc to the second best-performing asset class and 20pc to the worst-performing asset class. Exposure to equities is through equal allocation to the FTSE 100, S&P 500, DJ Euro Stoxx 50 and Nikkei 225; commodities are accessed through the DJ AIG ...
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