Mar 20, 2023
A look back and forward at the 60/40 portfolio
For the traditional 60/40 portfolio, 2022 was a punishing year. But the model’s long-term record has been stellar and, at current valuations, expected returns for the next decade have improved.
Mar 10, 2023
Fixed income update: Investors baulk at sticky inflation
Read Vanguard's latest sector-by-sector analysis of global fixed income markets and a summary of how those views affect the Vanguard active bond funds.
Mar 9, 2023
ETF market review: Equity dominates inflows in February
Read Vanguard's latest monthly summary of flows in the European ETF market.
Jan 6, 2023
Why the outlook has improved for the 60/40 model
The turbulence in global equity and bond markets in 2022 has a silver lining for investors in traditional multi-asset portfolios. Find out why.
Jan 6, 2023
Short-term pain but long-term gain for bond investors
Lukas Brandl-Cheng, investment strategy analyst, Vanguard, Europe, looks at how the long-term outlook for global bonds has turned more positive because of—not in spite of—the recent sell-off in fixed income markets.
Dec 1, 2022
A checklist for year-end portfolio reviews amid the volatility
With year-end conversations looming and market volatility ongoing, use our portfolio review checklist to keep clients on track to meet their investment goals and boost their confidence heading into 2023.