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AUGUST 5, 2002

Corrections & Clarifications


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"Taking the downside out of investing" (BusinessWeek Investor, July 29, 2002)


"Taking the downside out of investing" (BusinessWeek Investor, July 29, 2002)

In "Taking the downside out of investing" (BusinessWeek Investor, July 29), a table incorrectly stated that $100,000 invested in a portfolio composed 80% of zero-coupon bonds and 20% of stocks would yield $100,000 in the event of a 10% market decline. The correct value is $118,000. The table also incorrectly stated that the same portfolio would be worth $100,000 if the market were to remain flat. In fact, the portfolio would be worth $120,000 under those circumstances.



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