Description
Sungarden Investment Publishing's Rob Isbitts talks tactical portfolio management and dodging market scares (0:50). ETF portfolio and option combinations (6:25). Rob's risk averse YARP portfolio gaining even when S&P isn't (18:20). Tripling position in Starbucks - part luck, part proof that process works (27:55).
Read episode transcripts
Show Notes:
Here's My 40-Stock Dividend Portfolio, And How It Works
1987 Vs. 2024: 5 Ways To Separate Myth From Reality
Starbucks: I'd Rather Be Lucky Than Good
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