Astoria’s Conservative ETF Model Portfolio seeks to achieve above average income and a small amount of equity upside over varying macro-economic cycles.
Astoria’s MARS US ETF Model Portfolio seeks to achieve long term risk adjusted returns using exclusively US based holdings over varying macro-economic cycles.
Astoria’s US Thematic Equity ETF Model Portfolio seeks to achieve long term risk adjusted returns using predominantly US sector and thematic based holdings over varying macro-economic cycles.