Menu Close

Smart Money

Our regular summary of the capital markets. Check back each month for new updates.

Smart Money

January 30, 2019

GAVIN Equity Portfolio – US Investors

Annualized Return of 10.5% Since Inception

GAVIN manages approximately 25% of each client’s portfolio with direct exposure to between 15 and 25 companies that are publicly traded in North America. The equity portfolio has achieved an annualized, 4-year return of 10.5%, as at 31-Dec-18. These results handily beat the benchmark’s 5.8% return. In addition to high potential returns, managing a segregated equity portfolio provides cost savings, the greatest flexibility for tax planning and improved transparency. Check out the fact sheet to learn more about GAVIN’s equity portfolio.

Fact Sheet for US Investors

Subscribe

Success! You have been successfully been added to the mailing list.

Enter your email below to receive a monthly email with the latest market and company news.

We pride ourselves in dealing with professional athletes and protecting their information. Read more about our Privacy Policy.
You can unsubscribe at any time.

Gavin Hockey Wealth Specialists
Air Canada Centre, 50 Bay Street, Suite 1444, Toronto M5J 3A5
416-861-1998