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Breaking the 60/40 Myth with Philip Toews

Lead-Lag Live

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Navigating Investor Behavior and Portfolio Strategies

This chapter explores the intricacies of managing investor behavior in portfolio allocation, emphasizing the need for tailored strategies beyond the conventional 60-40 approach. It addresses psychological influences like FOMO and critiques traditional investment advice, suggesting a more comprehensive method for portfolio construction that considers diverse objectives and risk management. Furthermore, the discussion highlights the importance of continuous investor engagement and the use of tools to set realistic expectations in a volatile market.

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