Buy Right Income Etfs


This is a very safe portfolio for the moderate aggressive investor. It has bonds, and equities that are hedged by call options.It also features sector rotation. It has an extra small percentage in energy,materials, and emerging markets. Otherwise, the portfolio might be underweight these important areas. I have also alloted a small percentage to consumer staples as a hedge in bear markets.The breakdown is as follows: approx 30% bonds, 20% call option equities,40% sector rotation equities, and 10% natural resources,emerging markets ,and consumer staples equities.

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