Steady Wealth Growth Portfolio - A structured strategy aiming for a 10% IRR, with 90% risk assets and 10% low-risk assets.
The low-risk portion consists of short-term euro-denominated government bonds of high credit quality.
Risk assets include 10% cryptocurrencies, split equally between BTC and ETH, and 90% equities and bonds. The equity and bond allocation follows a 70% GDP-weighted global equity portfolio and three satellite allocations of 10% each to REITs, small cap value stocks and high yield bonds.