7Twelve Portfolio
A highly diversified multi-asset portfolio with 12 equally weighted sleeves across seven asset groups, designed to smooth returns across economic regimes.
Portfolio Atlas
Explore how different strategies allocate across assets, risk regimes and investment philosophies.
Showing 8 portfolios
A highly diversified multi-asset portfolio with 12 equally weighted sleeves across seven asset groups, designed to smooth returns across economic regimes.
A real-return focused multi-asset framework inspired by Rob Arnott and Research Affiliates, combining global beta and inflation-sensitive assets across regimes.
An equal-weight real-assets allocation across REITs, gold, commodities and TIPS, designed to diversify inflation and scarcity exposures.
A large institutional endowment model emphasizing scale, external managers, alternatives, private equity and broad global diversification.
A simplified ETF-based portfolio designed to replicate endowment-style diversification using liquid assets.
A diversified real-assets portfolio built around property, gold, broad commodities and TIPS.
A UCITS-friendly real-assets portfolio using REITs, gold ETCs, commodities ETCs and inflation-linked bonds.
The institutional endowment model that popularized long-horizon diversification, manager selection and heavy use of alternatives.