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  • Brian Orol Uses Inverse ETFs to Smooth Returns [View article]
    I don't get why one would buy a short index while, I presume, holding a long position in the same or a highly correlated index elsewhere in the portfolio. Is that what's going on? If one fears downside risk in equities, just hold more cash. Or am I missing something? This approach seems to have higher costs and complexity.
    May 27 16:14 pm |Rating: 0 0 |Link to Comment
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