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Life after the bubble

The latest edition of our Long-Run Asset Allocation Outlook sets out what we think lies in store for equities, bonds, REITs, and commodities over the next 10 years and beyond. This includes relatively weak returns from equities over the next decade, compared to the previous one, and an end to the long-running outperformance of the US stock market.

Alongside this Outlook, we have launched our interactive Long-Run Total Return Forecasts dashboard. This includes all of our long-term return projections in local-currency, USD, EUR, and GBP terms.

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