Effective 1st April 2012

The Board of Directors of BIAS Global Portfolios SPC has authorized the change of equity benchmark
from the FTSE World index to the S&P 1200 Global Index.

Further details are available within the Q1 2012 Global Navigator publication.

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Short Duration Income Portfolio

A convenient and efficient vehicle for investing in high quality money market and short duration income producing instruments which offer liquidity, low risk and attractive returns consistent with prudent investment management.

For those with a very low risk tolerance or a short time horizon.
Global Balanced Portfolio

Invests in a mixture of money market, fixed income, and equity securities with the objective of providing out performance through strategic and tactical asset class shifts.

For conservative to moderate investors who seek medium to long-term real capital appreciation whilst minimizing risk.
Global Equities Portfolio

A strict top-down approach is applied with a focus on macroeconomic analysis. Strategic allocations are made in various geographic, sector, style, and market capitalizations to exploit long-term trends and minimize risk.

For investors who have a higher tolerance for risk and a long time horizon.