Model Portfolios (weights) – July 2023

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

Asset ClassLowMediumHigh
Cash41.723.310.0
Fixed-Income45.041.728.3
Sovereign26.720.06.7
Investment Grade18.320.016.7
High Yield0.01.75.0
Equities10.018.326.7
Developed6.713.318.3
Emerging3.35.08.3
Commodities0.05.010.0
Alternatives3.311.725.0
Total100.0100.0100.0
Core (6m 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: