Sveriges mest populära poddar
Swedish House of Finance

How to manage risk in your portfolio

28 min16 juni 2021

In this final episode of the Household Finance podcast series, Anastasia Girshina and Paolo Sodini, discuss how we should - and should not - react to market fluctuations. They introduce the concept of rebalancing, argue against market timing and talk about different ways to diversify your portfolio. Listen to their research based insights in episode 4.

Fler avsnitt av Swedish House of Finance

Visa alla avsnitt av Swedish House of Finance

Swedish House of Finance med Swedish House of Finance finns tillgänglig på flera plattformar. Informationen på denna sida kommer från offentliga podd-flöden.