Chapters
Transcript
Episode notes
1 2 3 4 5 6 7 8 9 10 11 12
Introduction
00:00 • 3min
The Future of Fixed Income - Part 2
02:40 • 2min
What Are the Returns on a 60 Forty? And What Are the Drawdowns?
04:40 • 3min
The Risk Free Rate in Finance?
07:36 • 2min
The Risk Pre-Rates Are Not Going to Change the Story at All
09:46 • 5min
How Much Has Happened Over the Last 10 Years?
14:24 • 2min
Millennial Miserable?
16:22 • 2min
Is There a Difference Between Asset Return and Spending?
18:12 • 2min
How Much Will You Be Able to Afford in Retirement?
20:35 • 2min
How to Maximize the Volatility Between Assets and Liabilities
22:46 • 2min
Getting Back to the Original Question, How to Think About This in Your Portfolio
25:12 • 4min
How to Add Duracity to Your Portfolios
28:49 • 6min