Index
Numbers
401(k) plans, averaging out losses, 137
1987 bear market, 7-8
2008
banking crisis, 182-185
global market crash, 11-14
challenges of, 236-240
fallout from, 14-23
prospects of, 29-30
response to, 24-28
U.S. and Japan parallels, 28-29
housing crisis, 289
stagflation, DJIA (Dow Jones Industrial Average), 129
2009
bond market, 121-122
interest rates, 123
Treasury bond program, 123
A
absolute return investing, 179-180
absolute return mutual funds, 222-226
absolute returns, 204-207
alpha investing, 242
diversified hedge funds, 245-246
equities, 246-250
low correlation and portfolio benefits, 243-245
volatility, 242
building final wealth, 213-214
defined, 261
opportunistic profits, 286
paths to, 215-216
diversified ...
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