Our Approach

CG's approach to investing is based on several investment principals:

  • A diversified portfolio provides an excellent balance between risk and return.
  • Globalization has changed the nature of the world's economies and markets, and that evolution has placed a premium on research and disciplined management is critical to navigating the challenges posed by a dynamic investment universe.
  • Investors should maintain a global perspective and rebalance the portfolio periodically.
  • Investors are generally rewarded for locking-up funds for various time horizons in alternative investments and private equity.
  • An investor's risk tolerance can be adjusted through the use of leverage.

CG Strategy

ClayBorne Group (CG) seeks to help you build an investment portfolio which will maximize after-tax, risk-adjusted returns for a variety of risk preferences.
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