
All Weather Investing with Eric Crittenden
Excess Returns
Applying All-Weather Strategies in Retirement Portfolios
This chapter discusses the benefits of using an absolute return all-weather approach in retirement portfolios to reduce sequence risk and drawdowns. It highlights the limitations that prevent alternative strategies from being widely considered in the retirement planning community. The chapter also touches upon rebalancing in non-diverse assets and the pitfalls of over-tuning parameters when back-testing investment strategies.
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