This investment strategy allocates into ESG compliant equities and bonds. On the generic level this model portfolio allocates approx. 50 percent into stocks and 50 percent into fixed income.
Click the following LINK to find out about the underlying ETF positions, the ESG and portfolio related statistics of the balanced model.
At Algo-Chain we offer the whole range of the live ETF model portfolios that are tailored to the needs of the IFA’s and wealth managers.
