Diversification is key to stability



In our opinion, there is not a single or definitive solution to maintain sustainable stability within any of today’s investment markets, but one can hedge positions to help counter volatility through diversity and the creation of greater balance within an investment portfolio.


Our primary objective is to offer realistic alternative options that give the opportunity to create more diversity utilising multiple products within a variety of uncorrelated markets to help counter volatility and maintain greater equilibrium.


CK Asset Management maintain more emphasis needs to be placed on better awareness and management of risk, greater assessment of the suitability of a product to specific requirements and the individual objectives of the investor. This philosophy also highlights the risks involved to over exposure to closely correlated markets and single economy markets in times of political change and respective global economic corrections.