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Returns

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Benchmarks Increase Duration When Least Needed (Jan 1988-Jan 2016)

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Volatility Across Asset Classes and Countries

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Longer Holding Periods Have Historically Rewarded Investors

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Average Annual Returns of the S&P 500 Index

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How These Strategies Have Compared in Historical Down Markets as Defined by the S&P 500

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Classic 60/40 Portfolio Drawdowns

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US Government Securities Fund Negatively Correlated to S&P 500

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Equity Exposure Can Vary Widely in Passive TDFs

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Active Equity Funds of Two Criteria Have Beaten Indexes

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MSCI Emerging Markets Index (Local Currency) with Periods of Economic Weakness

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