Worst Year in 100 Years for 60/40 Portfolio

Submitted by aka.attrition

“2022 is an extreme year when it comes to the #correlation of #returns between #stocks and #bonds. Indeed, since 1926, stocks and bonds only had 3 years (1931, 1969 and 2022) of combined negative returns.” –  Stéphane Monier , Chief Investment Officer, Banque Lombard Odier

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“YTD annualized return for the 60/40 portfolio is the worst in 100 years.” – Bank of America Global Research.

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