Performance Snapshot: Global Balanced Series Through October 31, 2024
Nov 13, 2024
Portfolio holdings are subject to change, vary over time and should not be considered a recommendation to buy any individual security.
The Ocean Park Global Balanced 50-50 Portfolio (the “Strategy”) has two objectives, to provide total return and to limit exposure to downside risk.
The Strategy offers a diversified multi-asset portfolio designed for investors with a moderately conservative to moderate risk profile. Passively managed index funds are selected to provide 50% global equity exposure, divided between large- and small-cap domestic equities as well as international equities. Tactically managed funds are selected to populate the remaining portfolio.
The Strategy is unconstrained, tactically managed and invests primarily across global equity and fixed income asset classes. The Strategy seeks to participate opportunistically in global investment uptrends, while aiming to limit downside risk. Cash equivalents and/or short-term bond funds are held in the absence of uptrends. The Strategy may hold affiliated funds.