By Portfolio Solutions Group | Feb. 21, 2023
Chris Koltek, Institutional Client Portfolio Strategist
Investors have long relied on the negative correlations between stocks and bond prices to manage the risks of their portfolios. This article, by Portfolio Solutions Group (PSG), provides information on their outlook for stock and bond prices, as they continue to move together defying historical data and investor perceptions. PSG is responsible for the management and oversight of Canada Life’s target date, target risk and other specialty asset allocation funds. As of the end of last year, PSG manages approximately $29 billion in fund-of-fund assets.