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E154: How a First-Generation Immigrant Became a Top CIO: Paul Chai's Story

How I Invest with David Weisburd

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Maximizing Returns through Strategic Asset Allocation

This chapter explores the impressive 8% return from the TELF 2.0 investment, significantly outpacing the U.S. bond index. It emphasizes the strategic use of leverage and diversifiers in portfolio management to balance risk and ensure stable returns. The discussion includes insights on assessing fund managers and the importance of liquidity and regular portfolio reviews in adapting to changing market conditions.

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