50-Year Statistical History On A Seven-Asset Diversified Portfolio, Craig Israelsen’s Portfolio Management CE Course

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Great job today of presenting a variety of methods to look at the issue of diversification. Craig touched on the 7Twelve portfolio and its advantage in terms of volatility, standard deviation and even return over long time periods. It's helpful to repeat all of these concepts over and over because learning takes place much more deeply with Craig's repetitive style of teaching. I've found that I've easily incorporated these concepts in my client interactions and this has been quite beneficial.

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