Money Manager Treads Carefully Amid Market Volatility

  • 📰 globeandmail
  • ⏱ Reading Time:
  • 12 sec. here
  • 7 min. at publisher
  • 📊 Quality Score:
  • News: 25%
  • Publisher: 92%

FINANCE ニュース

INVESTMENT STRATEGY,MARKET VOLATILITY,BALANCED PORTFOLIO

North American markets have been performing well recently, yet Wes Ashton, a money manager at Harbourfront Wealth Management Inc., maintains a balanced portfolio to ensure strong risk-adjusted returns in anticipation of potential market corrections.

North American markets have been on a tear in recent months, but money manager Wes Ashton is still playing it relatively safe for if, and when, there’s a pullback.

Mr. Ashton’s balanced portfolio is built using about 60 to 70 per cent equities, depending on a client’s risk tolerance, with the remainder in fixed income and alternative assets that include private real estate and private debt.

このニュースをすぐに読めるように要約しました。ニュースに興味がある場合は、ここで全文を読むことができます。 続きを読む:

 /  🏆 5. in JP
 

コメントありがとうございます。コメントは審査後に公開されます。

日本 最新ニュース, 日本 見出し

Similar News:他のニュース ソースから収集した、これに似たニュース記事を読むこともできます。

Why this money manager owns health care supply company Thermo Fisher Scientific and recently sold NikeDaymon Loeb of Ravenstone Capital Management in Toronto, also owns Canadian Pacific Kansas City, Canadian National Railway and cable-connector giant Amphenol
ソース: globeandmail - 🏆 5. / 92 続きを読む »

U.S. Election Boosts Market Optimism: Money Manager Sees Strong Stock Market Performance Through 2025Brianne Gardner, a senior wealth advisor, expects strong U.S. stock market performance driven by rising corporate profits and economic growth. Following the U.S. election, the focus has shifted to economic fundamentals, with a strategic shift towards U.S. stocks.
ソース: globeandmail - 🏆 5. / 92 続きを読む »