Episode
Bootcamp #3 | How to Choose the Right Portfolio (Returns, Risk & Diversification)
- Podcast
- Sound Investing
- Published
- Feb 18, 2026
- Duration seconds
- 2791
- Processing state
not_requested
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Summary
Welcome to Bootcamp #3 of the Sound Investing Series with Paul Merriman β where real investing data meets practical long-term strategy. π In this session, Paul breaks down the performance of diversified portfolios vs. the S&P 500 using decades of historical data going back to 1970. Youβll learn how different combinations of equity asset classes have performed in good markets, bad markets, and everything in between. π What Youβll Learn in This Video: β’ A deep dive into the Sound Investing Portfolios and how they work for DIY investors β’ Historical returns of 2-, 4- and multi-fund strategies compared to the S&P 500 β’ Why diversification matters and how it can reduce risk and improve returns β’ How different portfolios performed in tough decades like the 1970s and 2000s β’ Practical takeaways for long-term investors, retirees, and those choosing equity allocations Whether youβre a beginner or experienced investor, this Bootcamp episode gives you real numbers and evidence-based insights to help shape your portfolio strategy with confidence. π‘ Topics Covered: β Sound Investing Portfolios explained β Risk vs. return comparison β Historical performance of diversified portfolios β The role of small-cap & value stocks β Why a 2-fund strategy can compete with the S&P 500 β How to think about risk in real market conditions π Useful Resources & Tables - https://www.paulmerriman.com/sound-investing-portfolios-2026 To follow along with the charts, tables, and data Paul references during the presentation, check the pinned links and video notes. π Perfect For: β DIY investors β Retirement planners β Anyone curious about portfolio diversification β Investors who want to avoid common mistakes π© Questions? Paul encourages you to leave comments and reach out β he often uβ¦