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This content is from: Portfolio What Investors Could Miss by Bagging the Agg Within the sleeves of Barclays aggregate bond index lies a strategy on how to manage fixed-income factor and risk premiums. By Lori Heinel By Ritirupa Samanta August 24, 2015
This content is from: Portfolio Getting Past the Dilemma Posed by the Barclays Agg An alternative beta strategy may better reward risk than the Barclays aggregate bond index in this economic climate. By Mike Rierson November 09, 2013
This content is from: Portfolio Passive-Aggressive: Index Funds and Risk in the U.S. Agg The Barclays U.S. Aggregate index is a solid benchmark for a core bond portfolio. But there’s more to fixed income than what’s in the index. By James Moore By Scott Spalding December 24, 2014
This content is from: Portfolio Low-Risk, Low-Yield Floating-Rate Loans Give Portfolio Protection Floating-rate ETFs offer a safe haven for investors looking for stability in a world of uncertainty over interest rates. By Maureen Nevin Duffy October 28, 2013
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