We started this week with an unusually large pullback in the U.S. stock market, followed by strong buying on Tuesday and Wednesday morning.headlines attempted to pinpoint contributing factors to the pullback , it is nearly impossible to know exactly why market sentiment changes so quickly.
Investors must also consider their attitudes toward risk, which should also help define what a reasonable asset mix might look like. Today’s screen looks for ETFs within the global fixed income balanced category, which includes investment funds that hold between 60 per cent and 95 per cent in bonds, the most conservative of balanced fund categories.
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