The Numbers

 Last week, U.S. Stocks and Foreign stocks increased.  Bond decreased.  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 4-19-2013


1-week


Y-T-D


1-Year


3-Years


5-Years


10-Years


Bonds- BarCap Aggregate Index


 -.3


.6


3.3


5.5


5.7


5.0


US Stocks-Standard & Poor’s 500


 2.1


13.9


18.7


12.7


5.0


7.8


Foreign Stocks- MS EAFE Developed Countries


 1.2


9.1


16.4


4.4


-4.1


6.2


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.

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