The Newton Group Cash Flow Portfolio is designed to provide safe, consistent income to investors that is superior to that received from bank deposits, GICs, or pure bond portfolios, and to avoid correlation with equity markets. An unconventional approach to an income-oriented portfolio that strives to generate a high level of income while maintaining the potential for capital gains. The strategy can own almost any type of security across the globe, allowing us to invest tactically in the asset classes we think are likely to generate the best risk-adjusted returns.
We can own high-yield corporate debt, income-paying common stock, preferred shares, convertible securities, REITs and more.
Investors seeking a consistent stream of income with a moderate tolerance for risk.