Excess Returns  cover image

Darius Dale on the Fourth Turning, Fiscal Dominance, and the Case for a Melt-Up

Excess Returns

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Navigating Market Risk: The KISS Model Portfolio Explained

This chapter introduces the KISS model portfolio, a tailored investment approach for retail investors that emphasizes risk management and diversification. It critiques the traditional 60-40 asset allocation model and suggests a new mix of 60% stocks, 30% gold, and 10% Bitcoin in response to evolving economic conditions.

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