Dynamic Multi-Asset

The Dynamic Multi-Asset strategy is a multi asset class strategy that seeks to achieve better returns than a moderate asset allocation portfolio with lower volatility and lower peak-to-trough drawdowns. The multi asset class strategy can include ETF, ETN, or index fund investments in U.S. and international developed market stocks and bonds, as well as gold, energy, commodities, emerging market securities, and real estate. It is a focused strategy that will include four macro asset classes that are best determined to outperform in that risk environment.

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