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The 60-40 Portfolio Is Doing Better in the Long Run
The 60-40 portfolio is doing pretty well, about 7% after a truly gruesome 2022. We think you can continue to get return from both the 60 and the 40. The bond story now has a duration or an industry sensitivity tailwind and not a headwind. If you throw alpha assumptions on top of the beta, most of our multi-asset portfolios could be 8.5% to 9%.
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