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Episode 176: How Bond Correlations Work, When To Buy, A Simple Path And Portfolio Reviews As Of May 27, 2022

Season 2 Episode 176 Published 3 years, 7 months ago
Description

In this episode we answer emails from Steve, Judy and Geordi.  We discuss the data surrounding stock/treasury bond correlations back to 1952, when and why you might want to hold bonds and a process for figuring that out and my takes on The Simple Path To Wealth.  With detours into prison jumpsuits, SpongeBob and  Ray Liotta.

And THEN we our go through our weekly portfolio reviews of the seven sample portfolios you can find at Portfolios | Risk Parity Radio.

Additional Links:

Flights To Safety Treasury Bond Correlation Paper:  delivery.php (ssrn.com)

Choose FI "Role of Bonds in a Portfolio" podcast:  The Role Of Bonds In A Portfolio | Ep 194 - ChooseFI

Kitces Four Phases of Investing Article:  The Four Phases Of Saving For Retirement (kitces.com)

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