Index

Numerics

10-year U.S. Treasury notes. See also U.S. Government Bond-Stock Valuation Model

averaging yields with 90-day U.S.

Treasury bills, 26

interest rates and, 25–26

relationships with Standard &

Poor's 500 Index

earnings yield, 27–30

90-day U.S. Treasury bills. See also U.S. Government Bond-Stock Valuation Model

averaging yields with 10-year

U.S. Treasury notes, 26

interest rates and, 25–26

relationships with Standard &

Poor's 500 Index

earnings yield, 27–30

A

accumulation phase of portfolios, 98–100

advance-decline indicators, 51–53

aggressive diversification example, 111–119

“aggressive” mutual funds, 129–130

allocation. See asset allocation

American Funds Capital Income Builder A mutual fund, 134–135

Appel, Marvin, 114, 137

asset ...

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