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Retrieved on: 2024-05-20 05:44:14
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Summary
The article illustrates how "balanced advantage funds" use market trends and dynamic asset allocation to balance risk and reward for better long-term returns. This approach incorporates investment, actuarial science, and financial market principles, focusing on rebalancing investments, asset allocation, and managing high-risk market phases. Tags relevant to the article include Investment, Asset allocation, and Rebalancing investments.
Article found on: www.financialexpress.com
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