What characterizes a core strategy in investment?

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A core strategy in investment is characterized by a focus on low-risk investments that prioritize stable income. This approach typically involves selecting assets that provide consistent returns over time, often through dividends or interest, while minimizing exposure to market volatility.

Investors employing a core strategy often seek to build a strong foundation for their portfolio, ensuring that they have a reliable source of income that can withstand market fluctuations. This approach aligns with the principles of sound financial planning, providing a sense of security and predictability, particularly suited for investors who may have a lower risk tolerance or are approaching retirement.

Other strategies may lean towards higher risks and potential returns, focusing on aggressive trading or short-term growth, which contrasts with the stability that a core strategy aims to provide. Choosing investments rooted in long-term performance rather than speculative trading further emphasizes the durability and resilience inherent in a core strategy.

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