Investment Strategies

Global Series

Conservative Strategy
Net Performance 02/12/04—01/31/12

The Conservative Strategy is primarily invested in equity and fixed income exchange traded funds (ETFs). Certain mutual funds including a taxable money market fund may also be utilized. The base line asset allocation is 75% fixed income, 15% Global Developed Markets, 7.5% Pacific Rim & Global Emerging Markets and 2.5% Global Hard Assets; providing a GLOBALLY DIVERSIFIED mix of 25% equity/75% fixed income.

Cumulative Returns   |   Rolling Returns  |   Annualized Returns   |   Risk Metrics   |   Strategy Snapshot (PDF)



Past performance does not guarantee future results.


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