Print this package: Blended Returns

By Staff | August 15, 2008 | Last updated on August 15, 2008
2 min read

(August 2008) Our latest special report, Blended Returns: Creating the right asset mix for troubled markets, examines how certain sectors are faring during these turbulent economic times. We look at Canadian and foreign equity, the bond market, how well commodities are doing, and where real estate will end up. Then we wrap things up with a piece on finding the right asset allocation for your client, and two useful template letters.

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Hot Canadian market starting to weaken

Foreign equity down, but not out

Bond markets improve thanks to credit crisis

Commodities on a bumpy, but profitable road

Cooling real estate industry still a good investment

Asset allocation can make or break a portfolio

To Clients: Portfolio Rebalancing

To Clients: Staying invested long-term

Read the whole package:

Blended returns: Creating the right asset mix for troubled markets

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The staff of have been covering news for financial advisors since 1998.