Pure Market Blend
The Pure Market Blend Spectrum Strategy seeks to track the performance of blended, broad equity and fixed income indices. It uses the S&P 1500, which covers the top 1,500 largest domestic equities, and the Barclays Capital US Aggregate Bond Index, which represents the US investment grade bond universe. The different risk allocations (Conservative, Moderate and Growth) are comprised of Exchange Traded Funds (ETFs) that are designed to closely follow their respective blended benchmark. The Pure Market Blend provides flexibility in building portfolios by acting as a core strategy to build upon or complement existing strategies.
- Allows for different risk allocations
- Driven by global macroeconomic indicators
- Provides flexibility in building portfolios