This podcast is Part 5 OF AN 8 PART series ON THE MoST IMPORTANT INVESTMEST DECISIoNS. The discussion addresses the distribution tables that use a Fixed Distribution Strategy of 3, 4, 5 and 6 percent plus annual increases for inflation.

One set of distributions uses the S&P 500 as the equity position while the other uses the U.S. 4-Fund Portfolio (25% each of S&P 500, Large Cap Value, Small Cap Blend and Small Cap Value).

The podcast references information on 8 different distributions tables:

⁠Table D1.3 Fixed Distributions: S&P Equity Portfolio-initial distribution $30,000 ⁠ ⁠

Table D1.4 Fixed Distributions: The same but initial distribution $40,000 ⁠ ⁠

Table D1.5 Fixed Distributions: The same but initial distribution $50,000⁠

⁠Table D1.6 Fixed Distributions: The same but initial distribution $60,000 ⁠ ⁠

Table D9.3 Fixed Distributions: U.S. 4-Fund Portfolio-initial distribution $30,000 ⁠ ⁠

Table D9.4 Fixed Distributions: The same but Initial distribution $40,000 ⁠ ⁠

Table D9.5 Fixed Distributions: The same but initial distribution $50,000 ⁠ ⁠

Table D9.6 Fixed Distributions: The same but initial distribution $60,000 ⁠

Also mentioned: ⁠Sound Investing Portfolios⁠

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