This combination is intended to avoid excessive volatility but has the potential to earn returns that at least keep pace with the rate of inflation. (thedigeratilife.com)
The Conservative Asset Allocation portfolio is a diversified portfolio designed for a long - term investor seeking a current income stream and looking to avoid excessive volatility of returns with some degree of capital appreciation. (ibkram.com)
When actively managed in a single portfolio, alternative income sources» potential for lower correlations may mitigate excessive volatility. (millervalue.com)