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Scott Peng, PhD, Founder and CEO/CIO, Advocate Capital Management

Alpha Exchange

CHAPTER

Is Equity Bond Correlation the New Normal in a High Inflation Environment?

The bond market in 2022 is high risk. We've seen the highest bond volatility and worse rolling 12-month performance by the AG since the 1980s. Equity bond correlation, if you take S&P 500 versus the Bloomberg AG, was negative 0.4 in 2019, is plus 0.7 in the last 12 months. That means that investors who have multi-asset portfolios or equity bond portfolios are going to see much higher risk than they had been used to over 20 years.

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