2021 Year in Review
2021 was a year that separated the investors who stuck to their well-planned portfolio strategy from those who bought into the narratives and stock stories that came up earlier in the pandemic.
2021 was a year that separated the investors who stuck to their well-planned portfolio strategy from those who bought into the narratives and stock stories that came up earlier in the pandemic.
In this episode, Marcelo and Keith talk about why the current inflation rates are a problem, how we got here, the big debate on how long these rates will last, implications for you as an investor, and so much more!
Explore investor strategies amid the Delta variant’s impact. Expert insights on navigating market volatility and securing financial resilience
What makes investors vulnerable and hurt financially after being drawn into schemes and scams that turn out to be too good to be true.
With public policy and multiple forced lockdowns in 2020, we knew we’d see a major impact on the economy. Today we discuss the recovery.
How do you know if we’re in a financial bubble? What triggers them and then causes a bubble to burst? More importantly, how do you protect yourself?
From record low interest rate levels to the success of speculators, we explore what these surprises in 2020 mean for the empowered investor.
We talk about how buying behaviours have changed during the pandemic and the implications for investors during and after the pandemic.
We explore what stocks and sectors are hot, the implications of current the market, and lessons and tools we can learn from the past two decades