Key Facts
Objective
Seeks to capitalize on short-and long-term mispricing in the global equity and fixed income markets by overweighting asset classes that appear attractive and underweighting less attractive asset classes. Among these risk-based portfolios, the more conservative model portfolios are designed to focus on capital preservation, with some consideration given to growth of capital. The more aggressive model portfolios are primarily focused on growth of capital.
Rebalance Frequency
12-20 times per year
Explore the Portfolios
Six tactical portfolios span the efficient frontier and can be used to target a variety of return and risk objectives. Find the one that’s right for you.
Get in Touch
Contact the State Street Models Team for more information or call a State Street ETF representative at 866-787-2257.
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