Is the 60/40 Model Dead?

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Manage episode 268461155 series 7799
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For decades, a straight-forward portfolio allocation of 60% stocks and 40% bonds has been incredibly successful from both a return and risk management perspective. Simon looks at the same model in light of today's all-time lows in bond yields and stretched stock valuations to see if it is still likely to work. Simon also discusses the latest quarterly results from T and VZ and comments on their prospects going forward.

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