
Episode 205: Bonds On The Run, More Cowbell And Portfolio Reviews As Of September 9, 2022
Risk Parity Radio
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The Morningstar Portfolio Analysis - Is This Really a Real-Life Portfolio?
This is the latest in a series of looks at how investors can make money from stocks and other investments. In this episode, Paul discusses his revised portfolio that contains VSFIX 5%, VEDTX 17%. GLD 11%. XLV 15%. RHS 17%. PBJ 5%. XLK 12%. PSA 13%. O.5%. The mutual funds in GLD are just for back testing and the actual holdings would be VGSH, EDV, and GLDM.
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