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Interest rate risk also looms large.
Investors need to be aware of interest rate risk with these bonds, Mr. Jacobson said.
FINANCIAL advisers say conservative investors may want to consider funds that try to reduce interest rate risk through portfolio diversification.
Bearing the general title "Interest Rate Risk," this latest bulletin is a cry for understanding.
Bond funds with shorter maturities are less susceptible to interest rate risk.
The second is interest rate risk — the risk that market interest rates will rise significantly.
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Williams said it does not report results by commodity, which would include interest-rate risk.
The industry's attention is turning to interest-rate risk.
One of Western's goals is to manage interest-rate risk by managing the duration of bonds in the fund's portfolio.
They are all vulnerable to interest-rate risk and inflation risk to some degree.
Companies with costs in one currency and revenues in another needed to hedge exchange-rate risk.
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