Key Facts
- Seeks to provide excess return primarily using income and yield-generating fixed income ETFs
- Employs a tactical asset allocation approach that combines quantitative and qualitative analysis
- Typically rebalanced monthly, but rebalancing may occur more or less frequently depending on market conditions
Objective
Seeks to provide excess return by tactically allocating among income and yield-generating ETFs. Allocation decisions are based on a proprietary sector selection model, which incorporates macroeconomic, financial, and market data to arrive at a projected return forecast for each fixed income sector. The portfolio is constructed to overweight more favorable sectors and underweight less favorable sectors.
Inception Date
Rebalance Frequency
Current holdings can be found in the Target Allocations file under Quick Links.
Quick Links