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Analysis of New High Beta and Low Volatility ETFs from PowerShares

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  • edited May 2011
    MJG in FA used his analytical skills to demonstrate the need to reduce volatility to improve investment success. Looks like SPHB vs SPLV is a verification of that concept.

    Compare the 10 year returns of both portfolios.

    However, note that the past returns are back-tested returns. The ETFs may or may not function as in the past.
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