Risk Management Strategies: Hard Assets and Low-Volatility ETFS
Risk Management Strategies: Hard Assets and Low-Volatility ETFS

Risk Management Strategies: Hard Assets and Low-Volatility ETFS

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8 min
Business & Finance
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Description

<p>We think value has come back into play, says Brad Roth, Co-Founder and CIO, Thor Financial Technologies. A lot of our clients are looking at commodities and hard assets like gold to hedge their portfolio, he adds. He discusses how investors are desperately seeking real risk management solutions. Brad discusses low-volatility ETFs names such as USMV and SPLV. Brad discusses bitcoin (/BTC) as an uncorrelated asset. Tune in for the full discussion. </p><p><br></p>

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