For years, many were preaching the merits of diversifying into uncorrelated asset classes, such as commodities, currencies, emerging markets, and others. However, the spike in correlation across these asset classes during the recent market meltdown has reopened the debate about the importance of asset allocation. Should private investors diversify amongst uncorrelated investment strategies, rather than asset classes? How should private investors approach diversification today in their portfolios? In this discussion, panellists will share what they've learned from the ongoing financial crisis and how they think private investors should retool their strategies in this new market order.

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