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Stocks vs. Bonds: Who Wins the Next Decade?

Many Happy Returns

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Reassessing Investment Strategies in Volatile Markets

This chapter discusses Vanguard's recommendation for a 30-70 portfolio allocation between equities and fixed income, highlighting the significance of individual risk tolerance amid market volatility. It further explores the psychological factors influencing investor behavior and the potential shift away from the 'buying the dip' mentality due to changing market dynamics.

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