The Big Risk for Risk Parity
The Big Risk for Risk Parity

The Big Risk for Risk Parity

๐Ÿ‡ฒ๐Ÿ‡ฆุณูŠู…ูˆ ุงู„ุฎุทูŠุจ๐Ÿ‡ฒ๐Ÿ‡ฆ

44 min
Business & Finance
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Description

The balanced-portfolio strategy known as risk parity, which typically relies on investing in both stocks and bonds, needs to adapt as both asset classes come under pressure in a rising-rate environment, according to Max Gokhman, the chief investment officer at AlphaTrAI Inc. Gokhman joined the "What Goes Up" podcast to discuss this and other current market topics, as well as how his firm is applying artificial intelligence to investing.ย ย  Learn more about your ad-choices at https://www.iheartpodcastnetwork.com

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