Asset Allocation Model maintains 'Outright Bullish' David Karsbol, Filed in: Global Asset Allocation 04 May 2010 at 8:27 GMT Non-Independent Investment Research Saxo Bank’s Asset Allocation Model returned 2.12% for the month of April and maintains an “Outright Bullish Scenario”. In other words: 30% MSCI World 5% MSCI Emerging Markets 45% CRB Index 10% SHY 10% IBCA Download the Saxo bank Allocation for May Tweet Like LinkedIn Share Google+ Previous Next Comments Please sign in to comment or ask the author a question about this article. Recommended Recommend Unrecommend Recommend Tweet Like LinkedIn Share Google+ Related articles In Asian session, EURUSD back to Monday lows, despite German data Market Preview - 22 March 2012; German and Eurozone PMI data eyed Here comes the sun! - Momentum back in the market Should or should you not diversify? Fear back in the market: cyclicals big losers last week Topics This post appears under the following topics... indices