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E177:How a Small Endowment Invests like Harvard w/Rip Reeves

How I Invest with David Weisburd

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Strategic Portfolio Allocation Insights

This chapter explores the rationale behind a balanced portfolio allocation of 40% stocks, 30% bonds, and 30% alternatives, emphasizing strategic flexibility in investment management. The presenters discuss the importance of asset allocation decisions, the selection of investment managers, and the balance between quantitative metrics and qualitative assessments. Personal experiences and insights into building relationships with asset managers highlight the significance of both formal and informal interactions in the decision-making process.

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