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Bonds have counterbalanced stocks in a diversified portfolio since 2000

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MSCI EAFE and MSCI USA relative performance since 1971

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S&P 500 annualized trailing 20 year total returns 1927 - August 2021

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S&P 500, log scale, from 1927 to August 2021

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Adding alternatives can increase diversification when stocks and bonds are positively correlated

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International: Price-to-earnings discount and dividend yields vs. US since 2001

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Nominal and real 10-year Treasury yields since 1958

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Top Half Domestic Funds of 2016 Were Unlikely to Repeat their Accomplishments over 2017-20 (S &P Dow Jones Indices)

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Factor Performance Rankings, Developed Markets (Source: Research Affiliates)

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Ten Largest Market-Capitalization Stocks in the World at the Beginning of Each Year (Source: Research Affiliates)

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