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Latest News  06/05/2016

Scopic Research Rating

The Scopic Multi-Manager Volatility Target Suite Rating A has been awarded to the Cornelian multi-asset fund range.

Scopic Research is an independent research consultancy dedicated solely to researching multi-manager solutions.  Its qualitative based research aims to offer deeper insight, greater transparency, and an information advantage to businesses that advise clients on, manage, or have other interests in unfettered multi-manager investment solutions. 

John Jackson, Managing Director Intermediary Business at Cornelian comments “We are delighted that our fund range has been awarded this rating.  We believe that the robust independent research undertaken by Scopic assists advisers in their quest to identify those fund ranges with consistent high quality across a variety of criteria including Manager & Team, Infrastructure & Support and Investment Approach.”

The full report as well as the abbreviated Summary Spotlight flyer is available for download in the Adviser Document LibraryThe Summary Spotlight is a factual, qualitative commentary taken directly from Scopic Prism an online look-through to a unique database of information on multi-asset investments that contains search and filter options to assist intermediaries with their due diligence needs www.scopicresearch.co.uK

John Jackson
Managing Director, Intermediary Business

Latest News  27/03/2019

Could Latin America be the big investment story of the next decade?

Investment Director David Appleton assesses a region that, with one of the world's youngest and fastest growing populations, looks set for economic expansion. Could under-investment over the last decade, coupled with recent political change, provide an exciting opportunity for investors?

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Latest News  26/02/2019

Asset Allocation - An Alternative Outlook

Investment Communication Manager, Rachael Dunbar-Nasmith, outlines the benefit of considering alternative asset classes over more 'traditional' multi asset portfolios and how Cornelian's unconstrained approach can help deliver real value for investors.

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