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  2. What Kind of Return Can You Expect From an All-Bond Portfolio?

    www.aol.com/whats-average-return-bond-portfolio...

    Like all markets, bonds fluctuate. Your returns will be based on what you hold, when you buy it, tax treatment and other factors. While many choose to diversify their portfolios across stocks ...

  3. Bullet strategy - Wikipedia

    en.wikipedia.org/wiki/Bullet_strategy

    In finance, a bullet strategy is followed by a trader investing in intermediate-duration bonds, but not in long- and short-duration bonds. [1]The bullet strategy is based on the acquisition of a number of different types of securities over an extended period of time, but with all the securities maturing around the same target date. [2]

  4. Fixed-income attribution - Wikipedia

    en.wikipedia.org/wiki/Fixed-income_attribution

    The risks affecting the return on a bond portfolio, as an example, include the overall level of the yield curve, the slope of the yield curve, and the credit spreads of the bonds in the portfolio. A portfolio manager may hold firm views on the ways in which these factors will change in the near future, so in three separate risk decisions he ...

  5. What is a bond ladder strategy? - AOL

    www.aol.com/finance/bond-ladder-strategy...

    The types of bonds used in a bond ladder can vary, but they often include U.S. Treasurys, municipal bonds and corporate bonds. These bonds are selected based on their credit quality, interest ...

  6. Merton's portfolio problem - Wikipedia

    en.wikipedia.org/wiki/Merton's_portfolio_problem

    Merton's portfolio problem is a problem in continuous-time finance and in particular intertemporal portfolio choice. An investor must choose how much to consume and must allocate their wealth between stocks and a risk-free asset so as to maximize expected utility .

  7. Beginners' Portfolio: Time for a Round-Up

    www.aol.com/2012/08/08/beginners-portfolio-time...

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  8. Portfolio (finance) - Wikipedia

    en.wikipedia.org/wiki/Portfolio_(finance)

    There are many types of portfolios including the market portfolio and the zero-investment portfolio. [3] A portfolio's asset allocation may be managed utilizing any of the following investment approaches and principles: dividend weighting, equal weighting, capitalization-weighting, price-weighting, risk parity, the capital asset pricing model, arbitrage pricing theory, the Jensen Index, the ...

  9. Best bond funds for retirement investors - AOL

    www.aol.com/finance/best-bond-funds-retirement...

    Here are some of the best bond funds to consider for your retirement portfolio. *Note: Data as of April 1, 2024. iShares Core U.S. Aggregate Bond ETF (AGG) The iShares Core U.S. Aggregate Bond ETF ...