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Whipsaws, Drawdowns, and Disbelief | Eric Crittenden on the Best Diversifier No One Buys

Excess Returns

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Navigating Trading Strategies and Market Dynamics

This chapter explores the complexities of managing open positions in trading, emphasizing the balance between risk and performance through effective rebalancing strategies. It delves into the dynamics of futures contracts, the distinctions between different investment fund structures, and the evolving landscape of Bitcoin futures in investment strategies. The discussion highlights the importance of historical context and empirical data in shaping trading decisions and investment philosophies.

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