Global Balanced Portfolio
Profile
As of June 30, 2010

Invests in a mixture of money market, fixed income, and equity securities with the objective of providing out performance through strategic and tactical asset class shifts. A top-down macroeconomic approach is employed with weightings determined by the expected returns and risks within each asset class.

Suitable for conservative to moderate investors who seek medium to long-term real capital appreciation while minimizing risk through asset class diversification.

 

 

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