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How does Barron Financial Group manage Investments Risk?

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How does Barron Financial Group manage Investments Risk?

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This question goes to the root of our portfolio management process. We manage risk by using asset allocation and the risk and return associated with various asset classes. We understand how the natural fluctuation of asset class returns can improve investment diversification. We select asset classes and adjust asset allocation in an attempt to optimize the return for a given level of risk.

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