Kanan Wealth model portfolios: A testament to long-term growth

At Kanan Wealth, we believe that true investment success is born from the power of compounding – not just of capital, but of wise, consistent decisions. Our clients’ long-term growth is no accident. It’s the result of a disciplined process that combines personalised, independent advice with carefully curated investment model portfolios.

The foundation of our success lies in the strength of our three flagship model portfolios: the Kanan Wealth Special Opportunities Fund, the StrategIQ Multi-Hedge Fund, and the Kanan Wealth Global Growth Portfolio. Each is designed to serve a distinct role in your wealth journey – whether it’s accessing niche opportunities, managing volatility through hedge strategies, or participating in global equity markets.

These portfolios are not ‘off-the-shelf’ products. They are built through partnerships with top-tier asset managers, selected for their expertise and ability to consistently deliver. We constantly evaluate macro-economic trends –  interest rates, inflation, global politics, and currency movements – to ensure our models remain resilient and relevant.

Importantly, our investment philosophy is anchored in a long-term perspective. While markets move through cycles, we stay the course – ensuring our clients benefit from the full effect of compounding over time.

The result speaks for itself. As shown in the graph above, our model portfolios have grown meaningfully, even through volatile market conditions, providing our clients with the financial confidence to stay invested and focused on their goals.

Partner with Kanan Wealth. Let time, strategy, and sound advice work in your favour. ●

t: +27 (0) 21 461 2429  |  w: http://www.kananwealth.com  |  e: info@kananwealth.com

Kanan Wealth is an authorised Financial Services Provider | FSP No. 36443. This communication does not constitute financial advice and is intended for information purposes only. Past performance is not necessarily indicative of future results.


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