At The Money: Managing a Portfolio in a Higher Rate Environment

At The Money: Managing a Portfolio in a Higher Rate Environment

0 Umsagnir
0
Episode
537 of 706
Lengd
12Mín.
Tungumál
enska
Gerð
Flokkur
Viðskiptabækur

Interest rates have increased by over 500 basis points over the past 24 months. It is a new interest rate regime, and TINA is no more. Investors should be considering capturing some of that yield in their portfolios. Jim Bianco, President and macro strategist at Bianco Research, L.L.C., speaks with Barry Ritholtz about the alternatives to equity that are producing real yield.

See omnystudio.com/listener for privacy information.


Hlustaðu og lestu

Stígðu inn í heim af óteljandi sögum

  • Lestu og hlustaðu eins mikið og þú vilt
  • Þúsundir titla
  • Getur sagt upp hvenær sem er
  • Engin skuldbinding
Prófa frítt
is Device Banner Block 894x1036
Cover for At The Money: Managing a Portfolio in a Higher Rate Environment

Other podcasts you might like ...