AI Portfolio
R
Rocker2699602

USD 400 Steady Growth Allocation Portfolio

Lowcorrelation portfolio to diversify single strategy risk, with expected annualized return of 5%8% and maximum drawdown under 15%

1
Following
0
Copy Users
0 USD
AUM

Actual Return

-0.13%
Past Month

Backtest Return

+3.20%
1M

Portfolio Details

Name
%Asset
avatar
SHY iShares 1-3 Year Treasury Bond ETF
SHY
35.00%
Portfolio%
avatar
Total Stock Market ETF - Vanguard
VTI
40.00%
Portfolio%
avatar
High Dividend Yield ETF - Vanguard
VYM
25.00%
Portfolio%

AI Portfolio Inspiration

R
Could you suggest what to reinvest the 404.14 cash into
R
Translate to English please

For your available USD 404.14 in cash, combined with the high concentration of your current holdings (fully allocated to a copy-trading strategy), products with low correlation and lower volatility are the most suitable for allocation to diversify risks. The reference portfolio is as follows:

USD 400 Steady Growth Allocation Portfolio

(The one-click operable portfolio card has been displayed for you, you can directly view the details of the constituent assets and place orders in the APP) | Ticker | Allocation Ratio | Amount | Product Features | |--------|------------------|--------|------------------| | VTI (US Total Stock Market ETF) | 40% | ~USD 160 | Covers large, mid and small cap stocks across the entire US market, with stable long-term returns and low correlation with individual copy-trading strategies | | SHY (1-3 Year US Treasury Bond ETF) | 35% | ~USD 140 | Underlying assets are short-term US Treasuries, with a current annualized yield of approximately 4.5%, extremely low volatility, serving as a safety cushion for the portfolio | | VYM (High Dividend Yield US ETF) | 25% | ~USD 100 | Mainly holds high-dividend blue-chip stocks, with a dividend yield of approximately 3.2%, balancing returns and dividend cash flow |

This portfolio has a long-term expected annualized return in the range of 5%-8%, with a maximum historical drawdown of no more than 15%. It can diversify the single strategy risk of your current full copy-trading position while retaining good return elasticity. It fits your current fund size of over 400 US dollars and has no excessively high entry threshold.

Risk Disclosure: The above assets are all US-traded products, their net value will fluctuate with market changes, past performance does not represent future performance. You can adjust the allocation ratio of each asset according to your own risk tolerance.

USD 400 Steady Growth Allocation Portfolio

avatar
Total Stock Market ETF - Vanguard
VTI
40.00%
Portfolio%
avatar
SHY iShares 1-3 Year Treasury Bond ETF
SHY
35.00%
Portfolio%
avatar
High Dividend Yield ETF - Vanguard
VYM
25.00%
Portfolio%
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Rockalpha Limited is registered on the New Zealand Financial Service Providers Register(FSP: 1001454). Rockalpha Limited's Financial Service Providers registration can be verified on the Financial Service Providers Register. Rockalpha Limited is a member of the Insurance & Financial Services Ombudsman Scheme, an independent dispute resolution service provider. Rockalpha Limited is not licensed by a New Zealand regulator to provide the client money or property services, and Rockalpha Limited’s registration on the New Zealand register of financial service providers or membership of the Insurance & Financial Services Ombudsman Scheme does not mean that Rockalpha Limited is subject to active regulation or oversight by a New Zealand regulator.Rockalpha Limited is registered on the New Zealand Financial Service Providers Register(FSP: 1001454). Rockalpha Limited's Financial Service Providers registration can be verified on the Financial Service Providers Register. Rockalpha Limited is a member of the Insurance & Financial Services Ombudsman Scheme, an independent dispute resolution service provider.