Asset Allocation Advisors Commentaries

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  1. July 2016: Monkey See, Monkey Do (Money See, Money Do)
  2. April 2016: Negative Interest Rates: Central Bank Omnipotence Fading
  3. January 2016: A Banquet of Consequences (Again)
  4. October 2015: What In The World?!
  5. July 2015: Greece!
  6. April 2015: Welcome to Crazy Town
  7. January 2015: What Doesn't Fit?
  8. October 2014: Ignore History or Learn From It
  9. July 2014: Is the Stock Market Overpriced, Fairly Valued, or Cheap?
  10. Why Asset Allocation Advisors Cannot Lose Two Years of Emails
  11. April 2014: Valuations Matter
  12. January 2014: Observations
  13. October 2013: Oily Rags: Growing Risks and Unstable States
  14. July 2013: The Awakening
  15. April 2013: Monetizing the Debt: Planting the Seeds of Inflation
  16. April 2013: Too Big to Fail + Too Big to Jail = Too Big to Regulate
  17. January 2013: Devaluing the U.S. Dollar: How and Why?
  18. January 2013: Staying Sane in a Crazy World
  19. October 2012: QE3 and Beyond
  20. July 2012: Update - Quantitative Easing
  21. April 2012: European Update - Problems Unresolved
  22. January 2012: Looking Ahead in 2012 - Assessment and Investment Strategy
  23. January 2012: The European Financial Crisis Explained
  24. October 2011: Increasing Safety as Dark Clouds Gather
  25. Raising the Debt Ceiling
  26. July 2011: The Cash Paradox
  27. April 2011: Interest Rates, Valuations and Expected Returns
  28. January 2011: Migrating to Higher Risk, Changing Risk-Return Tradeoff
  29. October 2010: Quantitative Easing Explained
  30. The Recession is Over (Huh?!?)
  31. July 2010: Adapting to Change
  32. April 2010: Investing in Today's Uncertain Environment
  33. January 2010: Investing is a Long Distance Event
  34. An Open Letter to Our Clients: January 2010
  35. October 2009: Climbing a Wall of Worry
  36. July 2009: Investment Trade-Offs
  37. April 2009: Bear Market Bounce or New Bull Market?
  38. Comments on the Financial Stability Plan
  39. January 2009: When Will I Know the Worst Is Over?
  40. Have We Reached the Bottom? December 12, 2008
  41. Navigating Through Troubled Waters: November 5, 2008
  42. October 2008: Emotions vs. Actions
  43. An Open Letter To Our Clients: September 29, 2008
  44. July 2008: Investment Peril and Opportunity
  45. April 2008: The Quiet Truth of Investing
  46. January 2008: Portfolio Performance - The Key to Successful Long-term Investing
  47. October 2007: Credit Market Concerns
  48. July 2007: Good News, Better News & As Good As It Gets - Winning By Not Losing
  49. April 2007: What is Normal? A Look at Market Volatility
  50. January 2007: Past, Present & Future