Otto1890 Global Multi-Asset
Portfolio (USD Moderate)

The Otto1890 ETF portfolios are designed to align with an investor’s risk appetite across five categories, from conservative to aggressive. We diversify across asset classes and geographies, using primarily exchange-traded funds to provide clear and efficient market exposure.

Risk Rating

Mod-High

Time Scale

5 Years

Why

Why should you invest in this strategy?

This strategy aims to maximise long-term returns for a moderately aggressive risk profile, targeting CPI + 6% over a rolling 3-year period. Asset allocation is informed by disciplined loss-aversion modelling to balance meaningful growth potential with considered risk.

01
Investment Growth

Investment Growth

02
Asset Class Allocation
03
Returns
04
Risk-Reward