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The UK Investor Magazine was thrilled to welcome Adam Ruddle, Chief Investment Officer of LV Group (Liverpool Victoria), to the podcast to delve into the group’s investment strategy and where it sees opportunities for its portfolios.
This comprehensive discussion explores the current landscape for LV, covering everything from asset allocation strategies to geographic positioning in today’s market environment.
The conversation begins with an overview of what investors can expect from LV portfolios in the current climate. The discussion then delves into the balancing act between fixed income and equities, particularly relevant as stock markets hover near all-time highs.
A significant portion addresses recent market turbulence. Specifically, the conversation covers tactical responses to Trump tariff-related volatility and the practical steps taken to navigate this uncertainty. The geographic focus shifts to the UK market, examining current exposure levels, assets under management allocation, and future development prospects in this key region.
Global positioning takes centre stage as the discussion reveals current over- and underweight positions across different geographies.
We discuss specific investment vehicles. Individual picks such as gold and Nvidia are analysed, providing concrete examples of how broader strategy translates into actual portfolio construction and security selection.
Adam finishes with a forward-looking perspective on the year ahead. Key opportunities are identified and assessed, offering listeners actionable insights into where the most promising prospects may emerge in the coming months.
Find out more about LV here.
Hosted on Acast. See acast.com/privacy for more information.
By UK Investor Magazine5
22 ratings
The UK Investor Magazine was thrilled to welcome Adam Ruddle, Chief Investment Officer of LV Group (Liverpool Victoria), to the podcast to delve into the group’s investment strategy and where it sees opportunities for its portfolios.
This comprehensive discussion explores the current landscape for LV, covering everything from asset allocation strategies to geographic positioning in today’s market environment.
The conversation begins with an overview of what investors can expect from LV portfolios in the current climate. The discussion then delves into the balancing act between fixed income and equities, particularly relevant as stock markets hover near all-time highs.
A significant portion addresses recent market turbulence. Specifically, the conversation covers tactical responses to Trump tariff-related volatility and the practical steps taken to navigate this uncertainty. The geographic focus shifts to the UK market, examining current exposure levels, assets under management allocation, and future development prospects in this key region.
Global positioning takes centre stage as the discussion reveals current over- and underweight positions across different geographies.
We discuss specific investment vehicles. Individual picks such as gold and Nvidia are analysed, providing concrete examples of how broader strategy translates into actual portfolio construction and security selection.
Adam finishes with a forward-looking perspective on the year ahead. Key opportunities are identified and assessed, offering listeners actionable insights into where the most promising prospects may emerge in the coming months.
Find out more about LV here.
Hosted on Acast. See acast.com/privacy for more information.

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