Asset allocation holds steady at 58% equities and 42% bonds. Model is recommending exposure to Emerging Markets (IEMG) for the first time in seven months. Intra-bond allocation getting more aggressive with High Yield and EM debt getting the heaviest weighting.
Complete the form and a member of our team will send you a copy of this publication.
While you wait, explore additional NDR research and solutions.
Institutional Investors
Custom Research
Wealth Managers
Stock Selection
ETF Selection
Please note that you are using an unsupported browser. While the site will continue to function, you might experience sub-optimal behavior until you upgrade. Please update your browser to a later version for a better experience.