If August 12 is the starting point for somebody with a three-year time horizon, what should be the expectations from the market – double-digit returns, volatile returns or single-digit returns?
If we can look at the asset allocation, for a three-year outlook, I would call for a 50-30-20 largecap, midcap, smallcap equities. So, with that understanding in mind, I think double-digit returns are definitely on the table. Your asset allocation must be this way, because over the nex ..