Increasingly, investors are incorporating exposure to alternative assets into their investment portfolios, and we believe ‘collectible’ real assets can help with many of today’s investing challenges. In this report, we analyse the credentials of fine wine and explain how its stability, low correlation to mainstream financial assets, and growth potential make it an attractive option for an alternative asset allocation.
Within this report you will find:
- Overview of the benefits and risks of alternative assets
- Discussion of real assets’ suitability for the current environment
- Detailed statistical analysis of fine wine’s track record and market dynamics
- Model portfolios of different alternative asset allocations