Components of Portfolio

QuantStreet’s process provides a systematic approach to ETF selection, resulting in a highly-diversified portfolio. We invest in ETFs that track US stocks, international stocks, and government and corporate bonds.

The low cost of ETFs allow us to easily capture the returns of different asset classes and factor exposures. QuantStreet currently focuses on the asset classes below and may change asset class coverage over time.

Asset Class Allocations

Asset class

Max. Allowable Allocation¹

Portfolio weight¹

Approx. # of securities

S&P 500

Medium to Large

VOO

510

US Treasury Bonds 

Medium

IEF, VGIT

16

US Short-term Treasuries

Medium

VGSH

98

International Government Bonds

Medium

IGOV

765

US High-Yield Bonds

Medium

JNK, HYG

1,350

US Investment Grade Bonds

Medium

VCIT, VCLT

2,100

Value Stocks

Medium

VTV

360

Momentum Stocks

Medium

MTUM

190

Non-US Developed Market Stocks

Medium

VXUS

7,850

REITs

Low

VNQ

360

Commodities

Low

DBC, GSG

20

Financials

Low

XLF

70

NASDAQ

Low

QQQ

103

EM Stocks

Low

VWO

4,400

1. As of December 2021. Actual allocations and security numbers can differ.

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