Returns

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Institutional Manager Selection (1994-2003)

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Average Stock Fund Return vs. Return of the Average Stock Fund Investor

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US Stock Market Crashes (1871-Aug 2015)

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Rolling 5-Year S&P 500 Correlations

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Value of Saving $300/Month with 8% Returns with Good/Bad Decades

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"Different" (Broadly Diversified) Portfolio (1989-2015)

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Changing Impact of Loss-Makers in the Post Crisis Era

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A Much Higher Percentage of Loss Making Companies in Small Cap Indices Suggest Greater RIsk for Indexation (1989-2015)

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Over the Last Two Decades, Earners Have Dramatically Outperformed Non-Earners

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High Debt Companies in the Russell 2000 Have Outperformed (2009-2015)

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