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ETF Model lifts equity exposure to 72%

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Improvement in global macro indicators triggered a shift in top-level allocation to 72% equities / 28% bonds. The Invesco QQQ ETF remains the heaviest-weighted fund in the model at 22%. The model eliminated exposure to EM equities (IEMG) and high yield bonds (JNK).

Ned Davis Research | ETF Selection | Model Update | Monthly

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