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  1. Focus on Long-Term Quality, Not Short-Term Rates

    Despite a fully valued market, stocks are still the best place to be for long-run value creation, and interest rates should have little impact on company fundamentals, says Morningstar's Matt Coffina.

  2. 2 Ways to Limit Volatility

    These ETFs have different approaches to the same goal, but one of them is a better core holding for long-term investors.

  3. 3 Questions for a Solid Dividend Portfolio

    As part of his portfolio strategy, Morningstar's Josh Peters examines dividend safety, growth, and total return of the investment and prefers companies with midlevel yields.

  4. Good Stock Returns Come With Patience

    A willingness to look past short-term noise and instead focus on a company's competitive advantages and stewardship serves as a core stock-picking advantage for Morningstar's Matt Coffina.

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