The GROPlus core portfolio type consists of an aggressive selection of ETF’s and indexed, low cost, No Load Mutual funds. GroPlus may use some Leverage and Short Selling (or inverse funds) as well as Sector and non-traditional asset classes like Emerging Markets, Commodities, and Currencies primarily to hedge, but also to enhance potential returns. This core portfolio type will therefore have greater transaction activity and portfolio turnover.
Includes GuardRail Technology for risk management in extended market downturns. Not recommended for use as 100% of an investor’s portfolio unless they are willing to accept high turnover, greater than average account value fluctuations, and potential short term losses. (note: the 360portfolios methodology strives to manage risk of loss but there is no guarantee of it being successful or in the losses being only short term.)