The market woes have continued as we entered the 2nd quarter of 2022. However, the normal dynamic of bonds as a safe haven from stock market declines has not played out this year. While stocks are down 10%-15%, the broad bond market is down almost 10% off it’s highs. What does this mean for diversified portfolios? Is the 60/40 model of asset allocation dead? How should you allocate in the future? All of this, plus we answer listener questions from the mail bag. Tune in to hear it all!