The monte carlo tests of this look good, in good times and bad -wonder whether there are academic observations about risk/reward…
50% VOO
10% GDE (equity/gold stack)
10% RSST (equity / managed futures stack)
10% RSSB (equity/bond stack)
10% NTSD (US equity / ex-US equity stack)
10% AVUV small cap value
Posted by EmuFit1895