A diversified portfolio designed to perform in all economic environments by balancing risk across asset classes.
Since 2017, this portfolio has returned 226.0%, outperforming the market by 226.0%. using its optimal monthly rebalancing period and 10 stock portfolio size.
All-Weather Strategy
+226.0%
S&P 500
+0%
List of holdings for the All-Weather Strategy Portfolio
But there's no need to cherry-pick stocks here because the AVERAGE return of every recommendation made by Finlo since 2017 is 720% - nearly quadrupling the market in that time.
10 equal weighted holdings in the All-Weather Strategy Portfolio. Copy the following positions to your brokerage account to replicate the portfolio.
Ticker | Sector | Finlo Rating | Market Cap | Weight |
---|---|---|---|---|
Exchange-Traded Fund | $68.38B | 10.00% | ||
Exchange-Traded Fund | $20.5B | 10.00% | ||
Exchange-Traded Fund | $74.779B | 10.00% | ||
Financials | $13.5B | 10.00% | ||
Exchange-Traded Fund | $110.3B | 10.00% | ||
Consumer Staples | $350.5B | 10.00% | ||
Health Care | $500.2B | 10.00% | ||
Information Technology | $3.532T | 10.00% | ||
Information Technology | $3.178T | 10.00% | ||
Information Technology | $3.212T | 10.00% |
Select a Portfolio Strategy aligned with your goals and preferences, considering factors like trading frequency and historical performance.
Add strategy-picked stocks to your portfolio. Watch for updates via email or our site to adjust holdings and stay on track for ideal performance.
Acknowledge and celebrate achievements in your investment journey. Regularly reassess and adjust your strategy to stay on track with your financial goals.