Argus

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Apr 07, 2026

Summary

We have three strategic asset-allocation models, targeting three risk-tolerance levels: Conservative, Growth, and Aggressive. We make tactical adjustments to the models, based on our outlooks for the various segments of the capital markets. Performance matters, and we monitor closely. So far in 2026, bonds have taken a modest lead over stocks, though both are in negative territory. Looking ahead and from an asset-allocation standpoint, our Stock-Bond Barometer model still sees both asset classes near fair value, so portfolio weights ultimately will depend on strategic factors. We are market-weight on large-cap stocks at this stage of the market cycle. We favor large-caps for growth exposure and financial strength, as well as exposure to the Information Technology sector. Small- and mid-caps offer better valuation. Our recommended exposure to small- and mid-caps is 15% of equity allocation, in line with the benchmark weighting. One of the market surprises in 2025 was the performance of global stocks, which turned in impressive results. We expect the long-term trend favoring U.S. stocks ultimately to re-emerge, given volatile global economic, political, geopolitical, and currency conditions. That said, international stocks still offer favorable near-term valuations, and we target an

Exclusive reports, detailed company profiles, and best-in-class trade insights to take your portfolio to the next level

Weekly Stock List

Apr 06, 2026

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JPM, MS, V, XYZ, BK, SPGI, TRV, ICE, CB

Daily Spotlight: Stocks, Bonds Near Value Equilibrium

Apr 02, 2026

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V

Daily – Vickers Top Buyers & Sellers for 04/02/2026

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ACT, LNG, VTS, PBF, NBIS, TISI, RBRK, TSM

Analyst Report: The Coca-Cola Company

Mar 31, 2026

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KO

Weekly Stock List

Mar 30, 2026

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VIAV, AMAT, HLF, HP, CLS, CIEN, CRWV, GLW, JBL, STX, TPR, W, WDC, AMD, LRCX, WBD, FLEX, DELL, AA, KLAC, DINO, MU, PWR, TSM, APA, ELAN, INTC, ALB, CAT, GEV, HOOD

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