Tag Archives: stocks and bonds
Asset diversification is an investment strategy designed to help investors minimize exposure to market volatility while attempting to maximize opportunities for high returns over the long term. While diversifying assets does not guarantee any investment objective will be met, spreading out investable dollars over a diverse mix of stocks, bonds, cash and other assets could […]
In this episode, the relatable finance guys recap an eventful first three quarters of 2022 including historic moves in inflation and interest rates, the impact of Russia’s invasion of Ukraine and the impact on the stock and bond markets.