Aussie Leveraged ETF Model

What is in the model portfolio?
A dynamic geared ETF mix to cover Aussie Equities and Equities Bear exposures. The model allows the investor to get the leveraged Aussie market exposure adjusted for macro/market risk. The model offers investors higher returns with elevated volatility and risk management.

Investment strategy?
Vertically integrated data-driven structured investment process to deliver risk-managed outperformance within the model portfolio parameters.

What are the investment expectations?
Sustainable long-term stable performance with managed volatility and downside protection.

Why this model portfolio?
• Higher return due to higher volatility
• Medium to high risk management
• Low turnover
• High liquid holdings
• Double-digit returns over the long term
• Benchmark S&P 300

Historical model performance

Performance analysis excludes dividends and transaction costs.