Excess Returns  cover image

Challenging "Stocks for the Long Run" with Jason Buck

Excess Returns

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Navigating Market Volatility and Portfolio Strategies

This chapter explores strategies for managing market volatility, focusing on the concepts of moneyness in options and long volatility positions. It emphasizes the importance of diversification and the psychological aspects of investing, particularly regarding withdrawal strategies in retirement. The discussion also critically examines traditional beliefs in portfolio construction, highlighting the need for a nuanced understanding of risk and leverage.

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