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NDR Global Allocation Strategy Commentary - January 2025

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During December, global stocks underperformed U.S. bonds by more than 70 basis points. The Global Allocation model's equity weighting remains above benchmark allocation. The model has an above benchmark weighting for Canada, Japan, and the U.S., while holding below benchmark allocations for Pacific ex. Japan, Emerging Markets, Europe ex. U.K., and the U.K.

Ned Davis Research | NDR Global Allocation Strategy Commentary | Monthly

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