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.

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Investing involves risk and you may incur a profit or loss regardless of strategy selected, including diversification and asset allocation.