
Christine Benz on correlations & sustainable distributions
Bogleheads® Live
Understanding Asset Correlation for Diversified Portfolios
This chapter highlights the significance of asset correlation in constructing a well-diversified investment portfolio. It explores the historical interplay between stocks and treasury bonds, the impact of rising global market correlations, and the necessity of international diversification. Additionally, the discussion covers various bond types and their roles in portfolio resilience, alongside the critical distinction between correlation and causation within financial markets.
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