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Introducing the Sentinel U.S. Equity ESG Portfolio

We are excited to announce the launch of the Sentinel U.S. Equity ESG portfolio, a cutting-edge investment strategy designed to harness the potential of AI-driven insights and the twenty most widely held U.S. stocks for capital appreciation and risk mitigation.

 

aisot blog - sentinel us esg

The Sentinel U.S. Equity ESG strategy applies a dynamic, rule-based selection of the twenty most widely held U.S. stocks by institutional and retail investors, offering diversified exposure across leading industries. At any given time, the portfolio maintains up to 15 dynamic holdings, including a strategic allocation of up to 50% in cash to manage volatility. The strategy aligns with contemporary ethical standards by eliminating ESG laggards. The approach is underpinned by sophisticated machine learning and quantitative techniques, enriched with advanced Large Language Model (LLM) sentiment analysis, ensuring a robust framework for decision-making.

 

Dynamic Rebalancing for Optimal Performance

Rebalanced monthly, the Sentinel U.S. Equity aims to grow capital over the long term. The strategy’s effectiveness is reflected in its performance metrics when compared to the S&P 500.

aisot sentinel usa esg

 

  aisot Sentinel U.S. Equity ESG S&P 500
Sharpe Ratio A 1.5263 0.6938
Sortino Ratio A 2.2764 0.9937
Max Drawdown -0.1309 -0.2543
Annualized Volatility 0.1440 0.1693
Annualized Return 0.2328 0.1086

Based on the backtests, the Sentinel U.S. Equity outperforms an equally-weighted portfolio by approximately 7.5% annually, generating an alpha of 3bps daily.

 

Join the waiting list for product launch

We invite institutional and professional investors to join the waiting list and be among the first to benefit from the Aisot Sentinel U.S. Equity ESG portfolio. Utilizing the Product Launch Pad of our AI Insights Platform, we will launch this portfolio as an Actively Managed Certificate (AMC) in the near future.

 

Join waiting list