Lazy PassiveMarket betaStock / bondModerateLow complexity

Margarita Portfolio

A simple three-fund portfolio split evenly across US stocks, international stocks and bonds.

Asset allocation

US Stocks
33%
International Stocks
33%
Bonds
34%

History

A popular lazy portfolio pattern that resembles a globally diversified three-fund allocation.

Philosophy

Keep every decision visible and easy to rebalance.

Implementation

Local products and proxies

🌐 Margarita Portfolio implementation

Long-term individual investor

Use broad, low-cost funds or ETFs matching each asset class.

Account notes: Implementation depends on local account types and tax wrappers.

Costs: Prefer low-cost, liquid vehicles.

Rebalancing: Annual rebalancing or tolerance bands.

Tax: Country-specific tax treatment should be reviewed before implementation.

Product names are implementation examples for research. Availability, taxation, share classes and suitability should be checked with the investor's broker and tax situation.

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