The All Growth composite includes all portfolios that are solely focused on capital appreciation. The portfolio has a complete allocation to the equity markets, which is diversified among domestic and international exposure, along with different sector and market cap exposures. The strategic management of the portfolio looks to take advantage of macro- and momentum-based factors to position the composite to best take advantage of the current environment.
The composite invests solely into ETFs. The composite is geared towards individuals with a high tolerance for risk, as the composite has the ability to be volatile.
3% CASH | 54% LARGE CAP | 6% MID CAP | 3% SMALL CAP | 34% INTERNATIONAL
TARGET RISK LEVEL SCALE: