In the many years that Carlton James has been developing opportunities for shareholders, a lot has been learnt, but one notion always prevails — diversification in investment is key to a successful portfolio.
The Carlton James Group seek to fund and invest in asset classes that offer multiple exit strategies and capital protection, while growing the company’s assets over time and increasing the protective nature of the group’s philosophy. What makes the group different is it marries this initial core ethos with an alpha strategy that results in earning unprecedented high returns in the short term.
Carlton James actively seek secured and collateralised debt financing opportunities that produce the targeted returns for the investors to meet the dividend payments. This strategy allows the asset classes of the group to offer investors a secure product which produces a base return that satisfies investor requirement whilst securitising the investment through stable tangible assets as security to offer a low risk correlation.
Global investment is at the heart of the Carlton James mindset and hedging investment in one country with investment in another allows the company to continue where others may have to slow.