
The Absolute Return Revival with Tony Yoseloff
Masters in Business
Revitalizing Absolute Return Strategies
This chapter explores the renaissance of absolute return strategies in investment portfolios against a backdrop of evolving market conditions. It emphasizes the significance of adaptability in portfolio management, particularly during times of rising interest rates and market volatility. The discussion highlights the strategic role of opportunistic credit and international diversification in navigating complex financial landscapes, particularly within European markets.
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