Multi-Manager Portfolio
CFWNC’s largest and most fully diversified portfolio utilizes modern portfolio theory in pursuit of the return objective of CPI + 4.5% annualized return over a full market cycle. More than 30 individual managers across asset classes manage portfolio assets through a combination of mutual funds, separately managed accounts and institutional investment offerings. The portfolio utilizes traditional asset classes such as global equity and fixed income as well as complementary strategies such as low-volatility alternative investments and real assets. The portfolio is constructed to participate in bull markets while also providing downside protection during market downturns.