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If you look at the updated data, 1970-2021. Due to the run in 2021, US alone has slightly outperformed vs any combination of US and international, with negligible standard deviation increase.

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Maybe I missed this, but while broader exposure with less volatility sounds great, if my intent is to maximize my return over a 40-60 year horizon through an index (not concerned about drops over time), would the S&P outperform a global index overall? Or at least historically?

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