Model Portfolios (weights) – May 2023

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In the tables below we present the allocation of model portfolios as voted by our Investment Committee in May 2023.

Asset ClassLowMediumHigh
Cash40.021.08.3
Fixed Income43.333.330.0
Sovereign30.018.313.3
Investment Grade11.710.011.7
High Yield1.75.05.0
Equities11.725.033.3
Developed10.020.021.7
Emerging1.75.011.7
Commodities1.75.08.3
Alternatives3.315.720.0
Total100.0100.0100.0
Core (6m horizon)
Asset ClassLowMediumHigh
Cash35.017.78.3
Fixed Income46.731.735.0
Sovereign28.315.013.3
Investment Grade14.011.715.0
High Yield4.35.06.7
Equities10.023.328.3
Developed8.316.715.0
Emerging1.76.713.3
Commodities1.76.76.7
Alternatives6.720.721.7
Total100.0100.0100.0
Tactical (1m Horizon)
Asset ClassLow MediumHigh
Cash
Fixed-Income
Sovereign
Investment Grade
High Yield
Equities
North America
Europe
Commodities
Alternative Investments
Investment Grid

You can read more about the Investment Committee below: