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Forward Funds White Paper

 

December 2012  
Managing Correlation Risk with Alternative Investments White Paper Forward Funds

Investors are suffering not only from volatility risk, but also from elevated levels of portfolio risk due to rising correlations within and among asset classes. In this white paper, Nathan Rowader, Director of Investments at Forward discusses how diversifying with low-correlation alternative funds can potentially not only improve a portfolio’s returns, but also substantially reduce its volatility.
 

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