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Jul 06 2012

Bi-Modal Or Middle Of The Road—We Think The Latter

  • Jul 6, 2012

How do we avoid volatility in a high Uncertainty/low conviction world? We compare a “bi-modal” portfolio of 50% Treasuries/50% High Yields with a “middle-of-the-road” portfolio of 100% Investment Grade Corporate bonds. The latter wins in both good and bad scenarios.

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About The Author

Chun Wang / Sr. Research Analyst & Co-Portfolio Manager