Portfolio Solutions' 30-Year Market Forecast For Investment Planning (2014 Edition)

January 09, 2014   |   January 2014 Bond Updates
Each year, Portfolio Solutions® publishes a 30-year forecast for stock and bond market returns. There are two sets of return expectations in this report. One is the return expectation based on a real return. This is the pre-inflation estimate. The second is a nominal return. It includes an inflation expectation. The risk stated for each asset class is the estimated annual standard deviation of return.

View more at: http://www.forbes.com/sites/rickferri/2014/01/09/portfolio-solutions-30-year-market-forecast/
 
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