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About this episode
Sarah Muir and Alan Higgins take a look at the reliability of contrarian signals and revisit the case for active management vs passive management. Plus the outlook for bonds when debt issuance is high and the economy remains robust. Plus a rant on the subject of the UK government’s penchant for index linked bonds.
Get every episode summarized
Each time Need to Know Investment Podcast publishes, we email you a written briefing from the transcript — the topics, who appeared, and any specific claims, with the ad reads skipped.
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