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Michael Green: Gold is the Antidote to the Greatest Risks to the Stock Market

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The Dynamics of Passive vs. Active Investing

This chapter examines the rise of passive investing and its effects on financial markets, particularly during index rebalancing periods. It contrasts the behaviors of active and passive funds, highlighting the implications of passive strategies on market valuations and potential risks during sell-off scenarios. Additionally, it addresses the broader economic context, exploring how changing market dynamics and retirement trends may influence future investor behavior and valuation stability.

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