There is no asset free of extreme tail losses. If an asset produces any sort of return, it is going to be exposed to some sort of tail event.
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One can try to find uncorrelated assets so that those losses don’t occur at the same time. However, correlations between asset returns are not stable – they change over time and behave quite erratically during market panics.
In the end, to be an investor is to accept the fact that large losses occasionally happen.