INVESTMENT STRATEGY

Our International & Bond model seeks to provide investors with long term-growth of capital and exposure to non-US companies while limiting volatility with fixed income exposure. The portfolio invests in both developed and emerging markets. This model may be appropriate for investors with long-term time horizons who are seeking growth and are looking to further diversify their current portfolio with international exposure while also providing some downside protection.

pie chart
chart

Investing involves risk and you may incur a profit or loss regardless of strategy selected.