DiscoverReSolve's MasterclassDay 5 –The Impact of Sequence of Returns Risk and How to Minimize it
Day 5 –The Impact of Sequence of Returns Risk and How to Minimize it

Day 5 –The Impact of Sequence of Returns Risk and How to Minimize it

Update: 2018-12-17
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After creating a theoretical framework with an almost obsessive focus on diversification and risk-adjusted returns, we bring you case studies of global asset classes throughout history that will demonstrate the importance of not depending on (often lucky) predictions. As we invest over the next few decades, we should aim to protect our sequence of positive returns by preventing the “maniacs from taking over the asylum”. This is where the rubber begins to meet the road. Welcome to Day 5.

Reference: https://investresolve.com/blog/path-dependency-financial-planning-retirement-edition/

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Day 5 –The Impact of Sequence of Returns Risk and How to Minimize it

Day 5 –The Impact of Sequence of Returns Risk and How to Minimize it

ReSolve Asset Management