Newsletter 2011

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Date  Title Description
December, 2011

Investing in 2011 and 2012, risk and returns

Discusses securities returns in 2011 & year end market valuations worldwide.  Analysis of risks & the investing environment in 2012.
September, 2011

Managing the Risks of Retirement Finances:Focus on Inflation Part II

The performance of stocks, various types of bonds, and the different categories of real estate relative to inflation.
June, 2011

Managing the Risks of Retirement Finances: Focus on Inflation Part I

The impact of inflation on retirement spending and the performance of money market investments relative to inflation.
March, 2011 Quantitative Easing, Investment Returns, and Opportunities Analyzes the impact of the Fed’s quantitative easing program. Discusses our returns, risk management, and current investment opportunities.