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Frank Vasquez - Risk Parity Investing for the DIY Investor

The Security Analysis Podcast

CHAPTER

The Correlation Between Treasury Bonds and Volatility of the Stock Market

The worst year and 40 years for most diversified portfolios. To me, it's an interesting test for other people. It's like the last year of 2022, it's a terrible year. And I didn't have the where, the presence of mine to take all the money and put it in managed futures funds.

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