How to neutralize portfolio risks in 2024

15,828 次觀看・3 個月前

As markets approach the second half of the year, investors are reassessing their portfolio strategies. Impax Asset Management co-portfolio manager Christine Cappabianca joins Wealth! to offer insights into market outlooks and evolving investment approaches.

Cappabianca highlights a significant shift in investor focus toward "less traditional style factors" as a means of risk neutralization. She emphasizes the growing importance of managing less standardized variables such as geopolitical tensions, election outcomes, and interest rate fluctuations.

The question now is "how we can measure these less standardized factors so we don't get swung around as these alternative factors impact the markets," Cappabianca tells Yahoo Finance.

For more expert insight and the latest market action, click here to watch this full episode of Wealth!

This post was written by Angel Smith.