Paul discusses the latest Equity and Fixed Income Tables (1928-2021). Also, see updates of The Ultimate Buy & Hold Fine Tuning Your Asset Allocation, Fixed Contributions and No-Nonsense Tables.
Plus, he answers the following questions:
- How can I determine expected risk and return of a portfolio that combines investments from several of your portfolios?
- Is there any benefit adding international large-cap fund to the U.S. 4 Fund Portfolio?
- Is the 60/40 portfolio dead?
- Should I add alternative investments to my portfolio?
- How do I track my results if I start my investment mid-year?
- Does it make sense to substitute your Vanguard Monthly Income Fund for your Government Bond fund recommendations?
- What are your rebalancing recommendations?
Paul ends with a wonderful comment from a young investor about dealing with the temptation to check his results daily.