Asset Allocation Portfolios for 30-Year-Olds: Performance Comparison a

Asset Allocation Portfolios for 30-Year-Olds: Performance Comparison a

Executive Summary 2020–2026 stock-heavy (80%) vs. balanced (60%) portfolio CAGR differential: approximately 2.1 percentage points (12.8% vs. 10.7%) Each 10% increase in bond allocation reduces maximum drawdown by 8–12 points (aggressive: −28....

June 17, 2026 · InvestIQs Research