Pekada Arcturus Portfolio monthly update

The Pekada Arcturus Portfolio (the Model) is an actively managed portfolio which has a strategic asset allocation of 40% growth assets. The portfolio aims to outperform the Bloomberg Bank Bill Index by 2% after fees and costs over rolling 5 year period. The model predominantly invests in defensive assets such as fixed interest and cash.

For more information about the portfolio including underlying assets, current positioning and rebates please view the monthly report.