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Breaking the 60/40 Myth with Philip Toews

Lead-Lag Live

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Adaptive Fixed Income Strategies

This chapter explores adaptive fixed income strategies for effective portfolio management, focusing on historical bond market trends to mitigate contemporary investing risks. It discusses the implications of inflation and rising interest rates on bond markets, advocating for a diversified approach to safeguard against principal losses. Additionally, the chapter contrasts traditional asset allocations with modern strategies, including the roles of gold and Bitcoin in an all-season portfolio amidst economic uncertainties.

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