All GWM Model Portfolios are currently positioned defensively We have little or no exposure to commodities, oils and precious metals. Our Core and International Core folios were mostly in cash going into today.
Our Sector Rotation folio is positioned in the defensive sectors only, healthcare, utilities and consumer staples.
Our Flexible Income folio is diversified in high yielding assets that continue to perform well.
This blog post does not constitute an offer of investment advise. This blog is only provided for educational purposes. Please read the Important Blog Disclosure posted in the right channel bar.
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