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Allocation, Pt. 1: Stock & Bond Correlation Shifts

Thoughts on the Market

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Introduction

The 60 forty portfolio, a portfolio of 60 % stocks and 40% bonds. This year has seen some of the worst returns for this diversified balance strategy we've seen in Forty or 50 years. A lot of that performance was coming from a starting point where both stocks and bonds had be extraordinarily valued. The valuations were premised on a continuation of federal reserve policy that, unfortunately, because of inflation, has had to change. It's tuesday, august sixteenth, at four p m in london, and it's 11 a m here in new york.

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