
Bitcoin is Insurance on a Failing Financial System with Greg Foss (WiM169)
The "What is Money?" Show
00:00
Portfolio Allocation - 60 % Equities, Forty % Bonds
Modern portfolio theory is based ona balancing assets that have correlations that are a negative correlation. So bonds and equities typically had negative correlation. When equity ces were getting smoked, chances are interest rates were coming down which meant bond prices were going up. This is the first quarter in history where the long bond has been off more than six % and equities are also down.
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Transcript


