Vanguard portfolio (CRSP Series)

Vanguard model portfolios take a strategic approach to investing. They offer consistently broad diversification, including exposure in balanced portfolios to more than 19,000 stocks and bonds worldwide. The approach starts with broad asset-class exposure to U.S. and international equities and U.S. and international investment-grade bonds in a strategic, index-centric framework.
Who it's for
Cost-conscious investors looking exclusively for Vanguard ETFs
Holdings Based on an allocation of 90% stocks, 10% bonds
U.S. Large Cap Equities - Growth Stocks
VUG
20.40%
U.S. Large Cap Equities - Value Stocks
VTV
17.10%
U.S. Mortgage-backed Securities 4.30%
International Developed Markets Equities
VEA
20.70%
U.S. Small Cap Equities
VB
4.50%
U.S. Bonds - Long-Term
BLV
3.90%
U.S. Bonds - Short-Term Bonds Duration
BSV
8.80%
U.S. Bonds - Medium Term Duration
BIV
4.10%
International Developed Market Bonds 9%
International Emerging Markets Equities
VWO
7%

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