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Lazy 3 Portfolio


Sometimes laziness can be a good thing!

Touted in different ways by authors and columnists including Andrew Tobias, Bill Schultheis and Scott Burns, the three-fund portfolio strategy has preached to investors the merits of equal exposure to three broad asset classes – domestic stocks, international stocks and bonds. Sometimes less can be more – while most professional money managers can’t beat the market using a collection of exotic funds[1], this trio of asset classes seeks to provide a low-cost passive investment strategy with broad exposure across sectors in the market, that aims to perform well in varying market conditions without the need for regular rebalancings. See more
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Motif Index 1 YR Return
Lazy 3 Portfolio Benchmark
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Weight Segment & Stocks Symbol 1 MO / 1 YR Return
34.2% TIPS 0.9%
34.2% iShares Barclays TIPS Bond ETF TIP 0.9%
33.0% US Equities 11.3%
33.0% Vanguard Total Stock Market ETF VTI 11.3%
32.8% International Equities 5.9%

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