The world is watching the horrific events unfolding in Europe, and most of us are watching our portfolios go on a rollercoaster ride. In this week’s episode of The Market Call Show, Louis Llanes (founder and CEO of Wealthnet Investments) breaks down the history of geopolitical conflict reactions of the markets, portfolio strategies he is using for Wealthnet Investments clients and what to watch for as indicators of market corrections.
In this episode you'll hear:
How the market has behaved during past geopolitical shocks
How SHOULD you strategize during a geopolitical shock or conflict? How is Louis strategizing right now?
Portfolio management for different scenarios
Trend indicators and what they do
The characteristics of corrections
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