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Economy & Finance
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February 7, 2026

Risk Budgeting:
 An Introduction to Portfolio Risk Management


Speaking of portfolio management and the challenges of generating real returns, especially in a high-inflation economic environment, yesterday, my attention was drawn to a technical comment on Bloomberg that argued the 60% equities/40% bonds portfolio theory had become valid again. The comment said that the correlation is now reversed after the chaos of 2022.

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Economy & Finance
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February 7, 2026

Active vs Passive Investing

The active vs. passive investing debate has been a hot topic for years. In this guide, we'll explore the pros and cons of each approach to help you make an informed decision. Whether you're new to investing or a seasoned pro, read on to gain insights on these two popular investment strategies and choose the one that aligns with your investment goals and risk tolerance.

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