Dynamic Conservative

The Dynamic Conservative Strategy is a dynamic asset allocation strategy designed to provide enhanced return, reduced volatility, and reduced peak-to-trough drawdown compared to naïve buy-and-hold strategies. The portfolio has a long term strategic risk target comparable with a portfolio of 40% equity and 60% fixed income. The strategy may be appropriate for investors who have a low tolerance for risk and a time horizon of less than five years. The portfolio typically holds 12 to 50 ETFs/ETNs.

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