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Medium30s–60s

Rob Arnott Fundamental Index Portfolio

An index portfolio weighted by fundamental value rather than market capitalization

Expected Return
연 8-10%
Expected Dividend
연 2.5%
Rebalancing
Quarterly

Asset Allocation

PRF (30%)
PDN (20%)
PXF (20%)
AGG (20%)
DBC (10%)
PRF
Fundamentally weighted large-cap stocks
30%
PDN
Fundamentally weighted small- and mid-cap stocks
20%
PXF
Fundamentally weighted developed market stocks
20%
AGG
US aggregate bonds
20%
DBC
Commodities
10%

Advantages

  • Value-oriented approach
  • Exploits market inefficiencies
  • Fundamentals-based index weighting
  • Potential for improved returns

Risks

  • !Higher expense ratios
  • !Complex methodology
  • !Tracking error vs. market cap index
  • !Market timing risk

Allocation by Investment Amount

If investing $1,000
PRF$300
PDN$200
PXF$200
AGG$200
DBC$100
If investing $5,000
PRF$1500
PDN$1000
PXF$1000
AGG$1000
DBC$500
If investing $10,000
PRF$3000
PDN$2000
PXF$2000
AGG$2000
DBC$1000

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Automatically calculate exactly how much to buy and sell to rebalance your portfolio.

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