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Global Balanced Trust

Bora Capital Advisors Limited (“Boraˮ or the “Fund Managerˮ) is pleased to introduce the Bora Global Balanced Trust (“the Trustˮ) , a globally diversified investment vehicle designed to deliver competitive, risk- adjusted returns while preserving and growing investor capital.

The Bora Global Balanced Trust is designed to preserve and grow investor wealth over the medium to long term through a disciplined, globally diversified investment strategy. The Trust seeks to deliver strong risk-adjusted returns by strategically allocating 70% of the Trust’s Net Asset Value (NAV) to offshore securities and 30% to domestic assets, positioning the portfolio to capture value across geographies, asset classes, and market cycles.

Investment Strategy and Policy

Investment Strategy and Policy

The Trust seeks to achieve its objective by actively selecting a diversified global portfolio blend of securities in the following broad asset classes

  • 40% Fixed Income securities.
  • 55% in equities and variable income securities with high growth potential
  • 5% in near cash instruments for liquidity purposes.

The Fixed income instruments will include foreign and domestic government securities, corporate bonds, exchange traded funds, fixed deposits and banker’s acceptances.

The Equity allocation will focus on dividend paying equity ETFs, broad index funds and value and growth stocks.

RiskRating Guide

All offshore investments will primarily be directed toward
investment-grade securities, as rated by globally accredited
credit rating agencies. The Trust targets a weighted average
portfolio rating of ‘A’ , ensuring a balance between return
expectation and prudent risk management.

Strategic AssetAllocation

Domestic Securities
Offshore Securities
70% ± 10%
30% ± 10%

Offshore 70% ± 10%

Asset Class
Allocation Range
Target Allocation
US Listed Equity Securities (Common & Preferred)
0% – 10%
5%
European Listed Equity Securities (Common & Preferred)
0% – 10%
US Treasuries
10% – 40%
15%
European Treasuries
0% – 20%
5%
Other “A” rated Sovereigns
0% – 10%
US Investment Grade Corporate Bonds
0% – 10%
5%
European Investment Grade Corporate Bonds
0% – 10%
5%
US ETFs
10% – 40%
30%
European ETFs
0% – 20%
5%

Domestic 30% ± 10%

Asset Class
Allocation Range
Target Allocation
Local Listed Equity Securities (Common & Preferred)
0% – 15%
5%
Local Treasuries
0% – 50%
15%
Local Listed Corporate bonds
0% – 10%
Other Local Money Market
0% – 20%
10%
Unlisted Equities
0% – 10%

Benchmark

Asset Allocation
Percentage of Asset Allocation
Benchmark
70% (Offshore Investments)
50% of total offshore investments

50% of total offshore investments
S&P U.S. Treasury Bond Current 5-Year Index

S&P U.S. 500
30% (Domestic Investments)
50% of total domestic investments

50% of total domestic investments
GoG 364-day bill

GSE Composite Index returns

ServiceProviders

Managers: Bora Capital Advisors LTD

Trustee: Fidelity Bank

Auditor: John Kay and Co.

Total Expense Ratio :1.45%

Management Fee
Trustee Fee
Administrator Fee
0.75% per annum
0.20% per annum
0.5% per annum

OFFER FOR SUBSCRIPTION
Minimum Investment: Gh¢ 10,000 or 10,000 units
thereafter in multiples of Gh¢ 1,000 or 1,000 units


OFFER OPENS: November 25, 2025
OFFER CLOSES: December 16, 2025

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