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Welcome back to the Bootcamp Series. In this episode, “The Good, Bad, Ugly & Average Risk & Returns,” Paul Merriman addresses a fundamental aspect of investing: navigating the unpredictable landscape of risk and returns over time. Whether you're a first-time investor seeking a long-term strategy or approaching retirement with important portfolio decisions, Paul provides the guidance needed to understand market fluctuations. Using nearly a century of market data, Paul examines the extent of volatility, covering periods of significant growth and sharp declines. He compares the historical performance of various equity asset classes, such as the S&P 500 and small cap value, and explains the importance of maintaining a consistent investment approach during both prosperous and challenging times. Throughout the discussion, you'll gain practical insights on diversification, timing, and how past results can inform future investment decisions. Whether you're just beginning your investment journey or planning for life after work, this episode offers essential lessons to strengthen your investment strategy. Join us for a thorough analysis of what it takes to manage the investment journey ahead effectively. Chapters: 00:00 - "First-Time Investor Strategy Guide" 03:11 - Investing Insights for Retirement Planning 06:15 - "Understanding Past and Future Uncertainty" 09:26 - "Past Market Returns: Insight or Irrelevant?" 12:47 - Diversifying Equity Investments Strategy 17:22 - Annual Growth vs. Average Returns 20:47 - Prepare for Stock Market Losses 24:45 - "Long-Term Investment Insights" 26:26 - Understanding S&P 500 Return Variability 31:04 - "Small Cap Value Investment Risks" 36:14 - Long-Term Small Cap Value Trends 39:52 - Progressive Loss Reduction Over Time 42:18 - Four Fund Strategy Analysis 47:15 - Investment Strategies for All Ages 48:36 - "Investor Boot Camp Series" Quotes: "My hope for first-time investors is that they find a lifelong strategy and commit to staying the course."— Paul Merriman "The investment journey will test you. Choose a strategy that ensures lasting, strong returns."— Paul Merriman "Understand your risk tolerance to secure your retirement without drastic lifestyle changes."— Paul Merriman Key Takeaways: Commit to a Lifelong Strategy You Can Stick With The Power of Knowing “The Ride” Before You Invest History Isn’t Destiny, But It’s Your Best Guide Risk Means More Than Just Big Losses—It’s About Staying In Diversification Is Your Friend at Every Stage Long-Term Perspective Flattens the Bumps Your Portfolio Should Reflect Your Needs and Stage of Life Education Leads to Empowerment Connect with Paul Merriman: Website: https://www.paulmerriman.com/ Email: paul@paulmerriman.com The purpose of this podcast/video is to help investors understand the likely risk and return parameters of small cap value, S&P 500, 2 Fund Portfolio (50% each SCV/S&P) and 4 Fund Portfolio (25% each SCV/S&P/SCB/LCV). In each case the best, worst, and average 1, 2, 3, 5, 10. 15, 20, 25, 30, 35, 40 year returns are listed. The following tables are discussed: S&P 500 Historical Risk and Return https://bit.ly/41kHyrS US SCV Index Portfolio Historical Risk and Return https://bit.ly/3ENeroo US 2 Fund Index Portfolio Historical Risk and Return https://bit.ly/4hIC8g5 US 4 Fund Index Portfolio Historical Risk and Return https://bit.ly/4hKBrml Also the risk and return page from the Sound Portfolios is referenced. https://bit.ly/3Qpqjze