Guard Your Portfolio Against Recent Market Volatility

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Sam Stovall

With Sam Stovall, Managing Director, U.S. Equity Strategy of S&P Capital IQ’s Global Markets Intelligence group; Author – The Seven Rules of Wall Street, The Standard & Poor’s Guide to Sector Investing

Sam Stovall is an analyst, publisher and communicator of S&P’s outlooks for the economy, market, and sectors. He is the Chairman of the S&P Investment Policy Committee, where he focuses on market history and valuations, as well as industry momentum strategies.

Sam’s a frequent guest on the show and talks about the recent volatility in global equities, whether this correction was on the cards, whether this was a pullback or a correction, and more. He correlates and benchmarks recent moves to long-term historical averages, and cautions investors to not get too complacent or over-aggressive with equities beyond their inherent risk tolerances. He also tells investors which metrics to focus on in times of high volatility to ride things out without causing long-term damage to their portfolios.

  • TAGS
  • bear market
  • FLASH CRASH
  • market correction
  • MARKET INSIGHTS
  • market pullback
  • RIDING OUT A MARKET CRASH
  • Sam Stovall
  • volatility
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Since 2001, I've helped educate and counsel investors like you with truthful answers so they can make informed money decisions. Through my association with WPBI and WLRN, National Public Radio for South Florida, I have been bringing you the same hard-hitting advice each week with "On The Money!". This show helps to protect you from self-serving forces within the financial services industry. I am also Managing Director for United Capital Financial Advisers, LLC, which is not affiliated with On The Money Radio.