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ETF Model Portfolios

State Street Risk-Based ETF Model Portfolios

Our Risk-Based ETF Model Portfolios are designed to deliver optimal capital efficiency over a long-term investment horizon. Constructed based on varying levels of risk tolerance, these portfolios provide diversified exposure across both equity and fixed income markets.

Rebalancing Frequency

Quarterly

Key Facts

  • Multi-Asset Diversification: Global asset allocation using an open architecture approach.
  • Strategic Asset Allocation: Built around risk tolerances and long term return expectations, with a tilt towards growth assets while managing clients exposure to risk.
  • Cost Efficiency: Utilises exchange traded funds (ETFs) as the underlying investment vehicle to minimise costs.
     

Explore the Portfolios

Choose from four distinct, each tailored to meet a range of return and risk objectives.

Click through each portfolio to explore its composition and strategy in more detail.
 

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How to Buy

Our ETF model portfolios are on the following platforms

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