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ALO10: How to Manage $50bn ft. Jason Morrow

Top Traders Unplugged

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Is There Any Constraint on the Portfolio?

The primary objective is a four point three, five % real rate of return. The inflation assumption has been two point five. volatility in plan assets has a direct connection to the volatility in their budgets. And so when we think about the risk constraint, the primary risk constraint is to moderate volatility, but still take enough risk to achieve the goal.

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