This episode is the third installment of the Portfolio Design series. Risk is a huge factor to consider when designing any portfolio, but how do you know if you’re taking on too much, or too little risk? Taylor explains a few factors to consider and some ways to even calculate the risk in your portfolio.
We continue our discussion last week on how to design a portfolio. This time we key in on international investing. There are a plethora of articles that explain why you should not invest in international companies. Do these articles have a point? Taylor will discuss what exactly comes with international investing and how it might affect your portfolio.
Do you wonder what investments you should or shouldn’t be in? We’ll talk about some of the details behind that conversation as we analyze how to design a portfolio. And a market correction might sound like the kind of thing that would impact your financial plan poorly. However, we’ll talk about some of the benefits that come along with a market correction on today’s podcast.