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False Recession Alarms. Real Risks. | Aahan Menon on What Investors Are Missing

Excess Returns

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Navigating the Bond Market Challenges

This chapter examines the intricacies of the current economic environment and its effects on investment strategies, particularly within the bond market. It emphasizes a systematic approach to constructing investment portfolios for the S&P 500, focusing on risk management and historical performance to enhance risk-adjusted returns.

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