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9 ways smart investors manage portfolio risk

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9 ways smart investors manage portfolio risk

15 884 просмотра · 1 год назад
ET Money
569 тыс. подписчиков
15 884 просмотра · 1 год назад
Many investors were caught unprepared for the recent market correction, which started on 26th September. As a result, their portfolios took a severe beating. But the market crash wasn’t the only reason for the dramatic fall in portfolios. A lack of risk management is as much to blame. In this video, we talk about 9 ways you can manage risk in your portfolio so that your portfolio can beat any market correction. This video is based on an Oaktree Capital video titled ‘How to think about risk with Howard Marks’. Howard Marks is a renowned investor and the co-founder and co-chairman of Oaktree Capital Management. Related resources: How to think about risk with Howard Marks:    • How to Think About Risk with Howard Marks   Playlist on investing lessons:    • Investing lessons   Why downside protection matters:    • The ultimate secret of top-performing fund...   9 crash-proof equity funds:    • 9 solid funds to prevent portfolio meltdown   Current market valuations:    • Will the market fall more or bounce back f...   Check out Genius now: https://etmoney.onelink.me/unJQ/5lbssho5 #ETMoney 👉 To invest in Direct Plans of top Mutual Funds for free, download the ET Money app: https://etmoney.onelink.me/unJQ/5ca1ae3b 👉 Subscribe to ET Money Hindi    / @etmoneyhindi   👉 5 Minute Finance channel    / @5-minute-finance   👉 Learn about stock investments: https://www.etmoney.com/learn/stocks/ 👉 Follow us on: ► Facebook:   / etmoney   ► Twitter:   / etmoney   ► Instagram:   / etmoney_official   ► LinkedIn:   / et_money   ► WhatsApp: https://whatsapp.com/channel/0029VaB4...