This week January 27, 2018 on Money For the Rest of Us Plus, we analyze the historical and expected returns of emerging markets equity compared to U.S. stocks, and how changes in valuations have influenced their respective returns.
We look at investing in commodities futures and why they are not in the model portfolios.
We discuss “bond bear markets” and what has or will be done to the model portfolios in the face of rising interest rates.
Finally, we review a member’s portfolio to assess whether they are on track for retirement in twenty years.
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