4Q24 Cash Balance Moderate Strategy

The Sage Cash Balance Moderate Strategy will seek to earn, on an annual basis, a return ranging between 4%-6%, while limiting volatility and downside risk. The Strategy will invest in the fixed-income, equity, and alternative market segments. A target asset allocation will be set at the beginning of each calendar year. Tactical allocation changes will be made throughout the year based on changing economic and market conditions. As the Strategy makes progress towards the annual return target, the risk profile of the Strategy will likely be reduced.

  • DATE: January 31, 2025
  • TYPE: PDF
generic image

Featured Insights

generic image
Tactical ETF

Asset Allocation Perspectives 2025 Outlook

January 10, 2025 -- This presentation provides an overview of our market outlook and key themes, and it illustrates how Sage is positioned in the current environment.

Learn more >

Tactical ETF

Tactical Investment Strategy — January 2025

January 21, 2025 -- Tactical Investment Strategy provides an overview of key economic and policy themes and how Sage is tactically positioned in the current market environment.

Learn more >

generic image
Fixed Income

High Rates, Tight Supply: Housing’s 2025 Balancing Act

January 13, 2025 -- The US housing market faces a delicate balancing act in 2025, influenced by lingering effects of the pandemic and persistently high mortgage rates.

Learn more >