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A balanced portfolio of stocks and bonds is measured against a benchmark that is 60% the S&P 500 and 40% the Barclays Aggregate bond index.
A balanced portfolio of stocks and bonds is measured against a benchmark that is 60% the S&P 500 and 40% the Barclays Aggregate bond index. The portfolio has had an average weighting in stocks of 70% for the last quarter and its stock holdings have returned 12% vs. 10% for the S&P 500. The combined 60% S&P 40% Barclays benchmark was up 5% in the quarter.
What was the asset allocation/ sector allocation impact of the portfolio being overweight stocks in percentage (basis points) terms?
-0.50% (- 50 basis points) | ||
+2% (200 basis points0 | ||
+0.50% (50 basis points) | ||
+5% (500 basis points) |
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