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Analysis of New High Beta and Low Volatility ETFs from PowerShares
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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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.