Conservative Allocation Category (2024)

Conservative-allocation portfolios seek to provide both capital appreciation and income by investing in three major areas: stocks, bonds, and cash. These portfolios tend to hold smaller positions in stocks than moderate-allocation portfolios. These portfolios typically have 20% to 50% of assets in equities and 50% to 80% of assets in fixed income and cash.

Abbreviation: CA

Broad Asset Class: Balanced

Primary Index: Morningstar Moderate Target Risk

Secondary Index: Morningstar Moderately Cons Target Risk

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Conservative Allocation Category (2024)
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