New Frontier’s global multi-asset portfolios are our flagship investment solution, featuring a track record of over fourteen years, multi-patented asset allocation, monitoring and rebalancing technology, and institutional investment expertise. The portfolios are globally well-diversified and designed for long term total return.
The portfolios reflect our extensive research on the importance of effective diversification for optimal investment over time—all profiles are designed for both short-term and long-term optimality. Unlike various approaches to asset allocation that use only historical data, our portfolios are sensitive to the changing market environment without making directional bets.
The portfolios are available at six risk levels so that you and your client can select the portfolios most suitable to your client's risk tolerance. Each portfolio consists of fifteen to twenty-five ETFs.