AI-powered
podcast player
Listen to all your favourite podcasts with AI-powered features
Strategic Portfolio Management
This chapter explores effective portfolio management strategies focused on a collection of 15 to 20 stocks, emphasizing the importance of long-term investing and diversification. The speaker shares their approach to evaluating stock performance and incorporating bonds for stability, addressing the significance of asset allocation according to risk tolerance and age. Additionally, the chapter highlights the nuances of bond investing and discusses how to incorporate these instruments within a 401k portfolio.