Bond exposure should be at a minimum, and a barbell approach may prove best in the stock portfolio. Own sectors that outperform if inflation worries intensify (the materials, energy and industrial sectors) or if yields keep rising (financials) but also have some defensive stocks (utilities, telecoms and consumer staples) which can buoy the portfolio should the market suffer a further decline. Other Distributions Menu 2018's Best Rewards Cards for Those with (at Least) Good Credit NerdWallet BBB 6.61% Press Center Roth IRA This is a rather sophisticated kind of mutual fund. The folks at StreetAuthority are running a teaser along the same lines of several they’ve run in the past, one that touts the “rarest securities on earth” — these are Enhanced Income Securities, they are sold by different names but essentially are just stapled securities, a high-yield bond tacked on to a share of stock, […] Wonderful article. While I own many of the stocks listed you have given me food for thought on new entities. You also have jogged me into a review of some of the stocks that I own. I need to re-justify my reasoning on their prior purchase (how they fit into my portfolio). Sure appreciate your links to the more detailed articles on each stock. Ponzi Schemes A true jewel Are High-Yield Bonds a Good Bet Right Now? INDIGO NATURAL P/P 144A 06.8750 02/15/2026 0.17%  Contact Us   Great article keep info coming. What are your thoughts on DLR, I have done quite well with it Terms & Conditions By continuing to use this site, you are agreeing to the new Privacy Policy and Terms of Service. Motif/M1

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