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“The lesson we learn from Tables 2-2 and 2-3 is that higher volatility of returns leads to lower compounded returns and vice versa. Accordingly, any strategy that lowers the return volatility of the portfolio without lowering the simple average return will increase the compounded return.”

Richard A. Ferri, All About Asset Allocation
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All About Asset Allocation All About Asset Allocation by Richard A. Ferri
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