• The analysis of the stock market volatility and ways to mitigate the risk

  • Mar 1 2021
  • Length: 24 mins
  • Podcast

The analysis of the stock market volatility and ways to mitigate the risk cover art

The analysis of the stock market volatility and ways to mitigate the risk

  • Summary

  • Oftentimes a successful investing requires the time commitment, ability, and wiliness to take risk. When it comes to the real life, very few investors have the luxury and wiliness to meet these conditions to become successful. In this paper, I analyze the stock market risk and highlight difficulties to remain calm and rational during volatile times. For risk averse investors, one of the solutions is to have a diversified portfolio. The simple 50/50 asset allocation strategy combines a broadly diversified equity index with long-term government bonds. It is one example of a simple diversification strategy.
    Show More Show Less

What listeners say about The analysis of the stock market volatility and ways to mitigate the risk

Average Customer Ratings

Reviews - Please select the tabs below to change the source of reviews.

In the spirit of reconciliation, Audible acknowledges the Traditional Custodians of country throughout Australia and their connections to land, sea and community. We pay our respect to their elders past and present and extend that respect to all Aboriginal and Torres Strait Islander peoples today.