(C) 2020 Benzinga.com. Step back, take a look at the bigger picture. But the bank might hope its picks do better than they did in 2020. Bonds can be more complex than stocks, but it's not hard to become a knowledgeable fixed-income investor. Wedbush analyst Nick Setyan covers Del Taco, and he rates the shares an Outperform (i.e. The study reflects results from over 300 adults.Photo credit: Bubba73, via Wikimedia CommonsSee more from Benzinga * Click here for options trades from Benzinga * Will GE Or Boeing Stock Grow More By 2025? A diversified, complete portfolio with impressive dividend returns can be built using mostly index funds. Index funds aren’t hedge funds, in that they aren’t created to try and beat the market. Schwab offers a wide variety of both bonds as well as equity funds. To read this article on Zacks.com click here. (To watch Setyan’s track record click here)Backing his stance, Setyan wrote, “We believe TACO's current valuation is predicated on an overly pessimistic assessment of its medium- to long-term fundamentals in a post-COVID QSR environment… Even with what we believe are conservative comp, unit growth, and margin assumptions through 2022, we estimate 12% EPS growth in 2022. As its name implies, it’s actively managed—emphasis on active in the current market, says comanager David Braun. DoubleLine Total Return Bond is another core-plus fund and Kip 25 member as well. Given its preferred milieu, however, the fund’s performance was rough during the March bond sell-off, and it lost nearly 9% (compared with a 5.7% loss in the Agg index). Most recently, concern over the coronavirushas thrown the entire world — including the markets — into a frenzy. Plus, Ultra Short-Term Bond’s 2.4% one-year return beats the yield of most money market funds. The ETF has an average credit quality of double-A and its performance is steady. In his latest note on Golub, the analyst noted, “GBDC continues to see portfolio-level operating performance, constructive sponsor support, and improvement in those companies most affected by shutdowns as the economy reopens… In our view, GBDC is a high-quality Quartile 1 BDC with a shareholder friendly structure, strong asset quality, and scale through resources of the Golub Capital platform.”In line with these upbeat comments, O’Shea rates Golub shares an Overweight (i.e. Watch these three dividend payers on IBD's radar. Get Your Free (SWHGX): Fund Analysis Report, Get Your Free (SWPPX): Fund Analysis Report, Get Your Free (SWANX): Fund Analysis Report, Get Your Free (SWCAX): Fund Analysis Report. The plus distinction means these funds have more latitude to invest in junkier debt than traditional core bond funds. John Hendricks made three large purchases earlier this month, buying up blocs of 15,473 shares, 26,000 shares, and 11,684 shares over a four-day period. Over the past decade, the ETF has been roughly half as volatile as the broad bond index, Bloomberg Barclays U.S. SWHGX aims to maintain a specific asset allocation for its portfolio. At last report, the fund held a 45% stake in government-agency mortgage-backed securities, which carry no default risk but a lot of interest rate risk, and 35% of the portfolio in non-agency mortgage-backed bonds, which have little interest rate risk but high default risk. The markets are up this week, with gains in all three main indexes amid optimism over a coronavirus stimulus bill.At times like this, it is tempting to jump on a bandwagon and buy up the growth stocks, aiming to capitalize on the broader trends. (To watch Silver’s track record, click here)CURI has a Moderate Buy analyst consensus rating based on 2 recent Buy reviews. 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