104- Market Risk & Modern Portfolio Theory

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Episode
105 of 498
Længde
39M
Sprog
Engelsk
Format
Kategori
Økonomi & Business

For show notes and more information visit www.investedpodcast.com This week Danielle and I discuss market risk, Modern Portfolio Theory, and short-term versus long-term perspectives for fund managers. We dive into factors that affect the stock market as well as the ratio between GDP revenue of U.S. and the entire stock market. Get your washtub ready for when they go on sale. Learn more about your ad choices. Visit megaphone.fm/adchoices


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