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Episode 393: International Questions From The Europeanish, A Pesky 401a And Portfolio Reviews As Of January 10, 2025

Risk Parity Radio

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Reassessing Bond Diversification

This chapter explores the advantages of U.S. Treasury bonds over European long-term bonds for portfolio diversification during recessions. It also examines the performance of U.S. versus international stocks, particularly focusing on the influence of the U.S. dollar on investment outcomes.

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