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Morgan Stanley Sees Market Returns Tumbling Over Next 10 Years

  • Strategists examine classic stock-bond portfolio potential
  • Low growth, low yields and low inflation to constrain returns
Times Square As Stocks Rise While Trade Talks Near Pivotal Point
Photographer: Michael Nagle/Bloomberg

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A weak environment for economic growth and inflation, paired with low bond yields, portend anemic returns from a typical stock-bond portfolio over the next decade, according to Morgan Stanley.