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Model Portfolios (weights) – January 2025

In the tables below we present the allocation of model portfolios as voted by our Investment Committee in January 2025.


Core (6 month horizon)

Asset Class

Low

Medium

High

Cash

37.0

20.0

5.0

Fixed-Income

48.0

40.0

38.3

Sovereign

27.7

21.7

18.3

Investment Grade

16.0

11.7

10.0

High Yield

4.3

6.7

10.0

Equities

10.0

23.3

28.3

Developed

8.3

18.3

23.3

Emerging

1.7

5.0

5.0

Commodities

0.0

5.0

8.3

Alternatives

5.0

11.7

20.0

Total

100

100

100


You can read more about the Investment Committee below:



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