
Wild Volatility To Send Stocks Down 35-45% This Year | Cem Karsan
Thoughtful Money with Adam Taggart
Navigating Market Volatility
This chapter explores innovative investment strategies that prioritize risk management over traditional asset allocation methods. It emphasizes the importance of modeling market paths and adapting to changing economic conditions, particularly during inflationary periods. The discussion critiques conventional strategies such as the 60-40 stock-bond model and advocates for diversified portfolios that include non-correlated assets for better risk-adjusted returns.
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