Astoria's Core Risk Based ETF Portfolios

Dynamic Growth ETF Portfolio

 

​This strategy focuses on long-term growth by blending various equity factors 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
 

​This strategy focuses on long-term growth by blending various equity factors 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
 

This strategy focuses on long-term income and growth by blending various equity factors 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 (RMDI) ETF Portfolio
 

This strategy focuses on building reliable income by blending various fixed income instruments with a modest allocation of equities and alternatives. It will maintain approximately 10%-20% in equities, 75%-85% in fixed income, and 3%-10% in alternatives.