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Beyond the 60/40 Portfolio?

Thoughts on the Market

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Exploring the Future of the 60/40 Portfolio and Potential Alternative Strategies

This chapter delves into the historical performance and potential future outlook of the 60/40 equity bond portfolio, examining factors like correlation between equities and bonds, economic growth, inflation, bond volatility, and macroeconomic impacts. It also hints at potential changes in asset allocation strategies, considering various economic scenarios and the impact of AI on investment decisions.

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