Portfolio Atlas

A structured map of portfolio architectures.

Explore how different strategies allocate across assets, risk regimes and investment philosophies.

Showing 20 portfolios

All Asset Portfolio

A real-return focused multi-asset framework inspired by Rob Arnott and Research Affiliates, combining global beta and inflation-sensitive assets across regimes.

Global Stocks25%
Inflation Linked Bonds20%
REITs15%
Commodities15%
Others25%
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All Seasons Portfolio

A simplified retail version of the All Weather idea, built to give individual investors a macro-diversified portfolio without institutional risk-parity machinery.

Long Bonds40%
Stocks30%
Intermediate Bonds15%
Gold7.5%
Commodities7.5%
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All Weather Portfolio

A macro-diversified portfolio designed to perform across different economic environments by balancing growth and inflation sensitivities.

Long Bonds40%
Stocks30%
Intermediate Bonds15%
Gold7.5%
Commodities7.5%
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Crypto All Weather

An all-weather-inspired portfolio with bitcoin added to stocks, bonds, gold and commodities.

Bitcoin25%
Global Stocks25%
Bonds25%
Gold15%
Commodities10%
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Desert Portfolio

A defensive Permanent Portfolio-inspired allocation that reduces cash and increases exposure to stocks, long bonds and gold.

Stocks30%
Long Bonds30%
Gold30%
Cash10%
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Dragon Portfolio

An antifragile portfolio concept designed to grow and protect wealth across long secular cycles of prosperity, inflation, deflation and crisis.

Stocks24%
Managed Futures21%
Gold19%
Long Bonds18%
Commodities18%
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European Permanent Portfolio

A European implementation of the Permanent Portfolio using European or global stocks, government bonds, gold and cash.

European Stocks25%
European Bonds25%
Gold25%
Cash25%
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Gold Heavy Permanent Portfolio

A Permanent Portfolio variant that doubles the classic gold sleeve.

Gold40%
Stocks20%
Long Bonds20%
Cash20%
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Golden Butterfly

A balanced portfolio combining growth, stability and real assets with a strong tilt toward small-cap value.

US Stocks20%
Small Cap Value20%
Long Bonds20%
Short Bonds20%
Gold20%
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Golden Ratio Portfolio

A modern risk-balanced portfolio using familiar asset classes in classic proportions.

Stocks42%
Bonds26%
Gold16%
Cash16%
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Inflation Barbell Portfolio

A barbell that mixes equity growth with gold, TIPS and broad commodities.

Stocks35%
Gold25%
TIPS25%
Commodities15%
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Inflation Protection Portfolio

A defensive inflation hedge built from TIPS, gold, commodities and a smaller equity sleeve.

TIPS30%
Gold25%
Commodities25%
Stocks20%
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Inflation Survival Portfolio

A real-world survival allocation used in high-inflation or currency-collapse environments, prioritizing hard assets, foreign currency and leverage avoidance.

Real Estate30%
Commodities20%
Gold15%
Foreign Currency15%
Others20%
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Permanent Income Portfolio

A Permanent Portfolio variant that adds a dedicated dividend and REIT income sleeve.

Stocks20%
Long Bonds20%
Gold20%
Cash20%
Others20%
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Permanent Portfolio

Harry Browne’s four-regime wealth preservation portfolio, built to survive prosperity, inflation, deflation and recession without relying on forecasts.

Stocks25%
Long Bonds25%
Gold25%
Cash25%
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Retirement Real Assets Portfolio

A retirement portfolio with bonds, TIPS, dividend stocks, REITs and gold.

Bonds35%
TIPS20%
Dividend Stocks20%
REITs15%
Gold10%
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Risk Parity Portfolio

An institutional portfolio framework that balances risk contribution across assets instead of capital allocation.

Bonds50%
Stocks25%
Gold15%
Commodities10%
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Stocks & Gold Portfolio

A simple two-sleeve portfolio combining equity growth with gold protection.

Stocks70%
Gold30%
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Stocks REITs Gold Portfolio

A compact real-assets equity portfolio with stocks, REITs and gold.

Stocks50%
REITs25%
Gold25%
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SWR REIT & Gold Portfolio

A safe-withdrawal oriented portfolio adding REITs, gold and cash to a stock-bond core.

Stocks40%
Bonds20%
REITs15%
Gold15%
Cash10%
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