Model Portfolio (weights) – May 2022

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In the tables below we present the allocation of model portfolios as voted by our investment committee in May 2022.

Core (6m horizon)

Asset ClassLowMediumHigh
Cash68.331.710.0
Fixed-Income20.023.315.0
Equities3.325.043.3
Commodities3.310.015.0
Alternative Investments5.010.016.7
100.0100.0100.0

Tactical (1m horizon)

Asset ClassLowMediumHigh
Cash56.730.011.7
Fixed-Income31.728.323.3
Equities3.318.331.7
Commodities1.76.711.7
Alternative Investments6.716.721.7
100.0100.0100.0