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Cliff Asness: ‘The Problem Was Never Beta. The Problem Was Paying Alpha Fees for Beta’

The Long View

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The Case for Diversification and Risk Management in Investment Strategies

This chapter discusses the advantages of a balanced investment strategy, comparing a 100% equity portfolio to a diversified approach that includes bonds. It highlights how a 60-40 equity-bond allocation can offer better risk-adjusted returns and explores the role of leverage in managing investment risk.

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