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The Traditional Approach Of Combining Bonds And Equities In A Portfolio Is Not Necessarily The Best Way To Improve Risk-adjusted Returns

by investmentweek.co.uk posted 11months ago 187 views
Partner Insight: Over the past five years, global markets have performed well in the shadow of significant event risk, from the Chinese banking liquidity crisis of 2013 to the volatility caused by the threat of a global trade war (amongst other issues) earlier this year.

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