December 2021 ESG Summary For Risk-Managed ESG Strategy

December 2021 sector allocation changes for the Blueprint ESG Strategy

Source: Blueprint Investment Partners
For illustrative purposes only. Diversification does not guarantee investment returns and does not eliminate the risk of loss. Diversification among investment options and asset classes may help to reduce overall volatility.

This Month: Asset Allocation

87% equities, which will be down from November due to weakness in value-oriented sectors – equity exposure will be spread across 63 stocks, with 13% allocated to fixed income and cash equivalents

This Month: Largest % Increases

Materials and consumer discretionary

This Month: Largest % Decreases

Energy and utilities

Last Month: Best Performers

Tech and consumer discretionary – the Strategy continues to benefit from the persistent trends in large-cap

Last Month: Worst Performers

Financials and pharma

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