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Average annual returns: 1928-2021

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7 quarters when both equity and fixed income were negative

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Fixed income now offering attractive starting yield levels

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Change in CPI vs. change in median sale price of houses, 1970-2020

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Varying SAFEMAXs by retirement duration and asset allocation

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Diversified portfolio and S&P 500 index returns since 1999

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Historical risk and return comparison since 1991

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A long-term perspective on market downturns since 1926

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A closer look at historical bear markets since 1926

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Annualized return vs. volatility of annual returns over a 20-year horizon (2002-2022)

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