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Key Macroeconomic Risks and Portfolio Management Implications

Key Macroeconomic Risks and Portfolio Management Implications

Enterprising Investor · CFA Institute

December 13, 201212m 26s

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Show Notes

In episode #181, Campbell Harvey discusses the limitations of quantitative easing in today's macroeconomic environment. His analysis has implications for the role of commodities, specifically gold, in a diversified portfolio.