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Eric Crittenden & Jason Buck Explain Why Best Investors Follow the Trends | #533

The Meb Faber Show - Better Investing

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Balancing Risk and Return in Investment Strategies

Investment strategies should aim to provide a good geometric rate of return with solid risk controls, avoiding a situation where clients feel compelled to sell due to underperformance. By mixing risk assets with trend, it's possible to offer enough beta to prevent clients from liquidating, resolving both the statement risk problem and the challenge of maintaining client loyalty despite market fluctuations. Conducting due diligence, particularly on an institutional level, is crucial to building trust and credibility in investment decisions.

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