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Horizon Model: 5 Year Conservative


For the mid-term conservative investor

Motif’s Horizon asset allocation models draw on the Nobel Prize winning research of Harry Markowitz and Modern Portfolio Theory (MPT). We use elements of the MPT to lay the foundation for and develop diversified investment portfolios across all asset classes. The Horizon Models are intended to provide investors with a low-cost and robust asset allocation solution that seeks to diversify across asset classes. Investors and financial advisors can use or customize the Horizon Model motifs to suit their unique investment preferences. This motif is an implementation of Motif’s Horizon Model for mid-term investors that may have a lower tolerance for downside risk in their portfolios. See More
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Portfolio Index 1 YR Return
Horizon Model: 5 Year Conservative Benchmark
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Weight Segment & Stocks Symbol 1 YR Return
55.5% US Bonds 0.7%
22.5% US Equities 4.2%
16.9% International Bonds 3.4%
4.8% Real Estate 4.4%
4.8% 8xxxxxxx 8xxx 8xxxx 8xx 8xx 88.8%
0.3% International Equities 14.5%
0.3% 8xxxxxxx 8xxxx 8xxxxxxxxxxxx 8xxxx 8xx 8xxx 88.8%
0.0% Commodities --
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