
Portfolio positioning for an uncertain market with next gen investors
Investing Experts
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Navigating Market Volatility
This chapter discusses the current volatility in financial markets, exploring challenges such as oil price shifts and risks faced by retail investors. The speakers emphasize the importance of portfolio management strategies amidst uncertain economic conditions, including a focus on undervalued opportunities while reassessing risk. They also reflect on the behaviors of institutional investors and the necessity for a balanced investment approach in light of potential downturns.
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