In Plus episode 293 for the week of April 4, 2020, we review current investment conditions as of early April 2020, including market valuations, economic trends and market internals in light of the coronavirus pandemic. We also review David’s portfolios including a discussion on asset-based lending. We consider the prerequisites for increasing portfolio risk. Finally, we answer a member’s question about portfolio adjustments if one chose to stay fully invested.
Become A Member
If you would like to listen to this episode of Money For the Rest of Us Plus, you can do so by becoming a Money For the Rest of Us Plus member. Learn More About Membership Options »