Dynamic Growth ETF Portfolio
 

 

​Astoria’s Dynamic Growth Strategy focuses on long term growth by blending together various equity factors along with allocations to fixed income and alternatives. It will maintain approximately 60%-70% in equities, 15%-25% in fixed income, and 10%-15% in alternatives.

Dynamic Growth & Income ETF Portfolio

​Astoria’s Dynamic Growth & Income Strategy focuses on long term growth by blending together various equity factors along with allocations to fixed income and alternatives. It will maintain approximately 45%-55% in equities, 30%-40% in fixed income, and 10%-15% in alternatives.

Dynamic Conservative ETF Portfolio

 

Astoria’s Dynamic Conservative Strategy focuses on long term income and growth by blending together various equity factors along with allocations to fixed income and alternatives. It will maintain approximately 25%-35% in equities, 50%-60% in fixed income, and 10%-15% in alternatives.

Risk Managed Dynamic Income ETF Portfolio (RMDI)

Astoria’s Risk Managed Dynamic Income Strategy focuses on building reliable income by blending together various fixed income instruments along with a modest allocation towards equities and alternatives. It will maintain approximately 10%-20% in equities, 75%-85% in fixed income, and 3%-10% in alternatives.

Enhanced Income ETF Portfolio

 

Astoria’s Enhanced Income Strategy aims to capture equity and fixed income securities with above average yields. It will maintain approximately 20% in equities and 80% in fixed income.