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Agile Dynamic Volatility Allocation


Agile Volatility Approach is a quantitative method to work off the implied volatility in the market to manage risk. The index dynamically allocates based on current market factors using a combination of 1x (unleveraged), 3x long and volatility-based ETFs. Broad Market equity ETFs are used to gauge general market direction See more
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Motif Index 1 YR Return
Agile Dynamic Volatility Allocation Benchmark
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Weight Segment & Stocks Symbol 1 MO / 1 YR Return
100% Other 8.3%
46.2% ProShares UltraPro S&P 500 ETF UPRO 9.0%
18.7% iShares Barclays 1-3 Year Treasury Bond ETF SHY 0.7%
18.0% iShares Barclays 20+ Year Treasury Bond ETF TLT 4.8%
17.1% 8xxxxxxx 8xxxx 8xx 8xxx 8xxxxxxx 8xxx 8x 8xx 88.8%

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