Last week, U.S. Stocks increased, Foreign Stocks
decreased, and Bonds were unchanged. During
the last 12 months, STOCKS outperformed BONDS.
LAST WEEK -Here is a look the cause of the
volatility created this week by hedge funds, institutions, and those we call
“traders.”
Returns through 8-23-2013 |
1-week |
Y-T-D |
1-Year |
3-Years |
5-Years |
10-Years |
Bonds- BarCap Aggregate Index |
0.0 |
-3.2 |
-2.5 |
2.5 |
4.9 |
4.7 |
US Stocks-Standard & Poor’s 500 |
.5 |
18.3 |
21.3 |
18.5 |
7.6 |
7.5 |
Foreign Stocks- MS EAFE Developed Countries |
-.6 |
9.4 |
17.3 |
6.9 |
-.4 |
5.1 |
Source: Morningstar Workstation. Past performance is no guarantee of future results. Indices are unmanaged and cannot be invested into directly. Three, five and ten year returns are annualized excluding dividends.