by Brian Jacobs | Feb 5, 2024 | Blog, Investment Concepts
Which diversifier added to a balanced portfolio at a 10% weight is more likely to result in a portfolio with higher returns and lower volatility? Asset A: Expected annualized return: 4% Annualized standard deviation: 3% Correlation with existing investment:...
by JD Gardner | May 3, 2023 | Market Updates
I’m starting with this chart because it matters: Source: TS Lombard as of March 2023 What you are looking at is the rolling 10-year correlation between stocks and bonds. Correlation is a measure of the relationship or connection between two things. In...