1. EachPod

How Can You Minimize Risk and Maximize Return in Retirement?

Author
Wes Cuprill
Published
Thu 03 Oct 2024
Episode Link
None

In this episode, we explore the critical concept of standard deviation in investing, particularly for those nearing retirement. 

Learn why average return isn't the only metric you should be focusing on and how volatility can impact your financial future. Discover the importance of managing your portfolio's standard deviation through the illustrative examples of Laverne and Shirley. 

Don't miss this essential discussion for anyone looking to optimize their retirement strategy!

Chapters:

(00:00) Introduction

(01:00) The Importance of Standard Deviation

(02:15) Example: Laverne and Shirley

(05:45) Understanding Volatility

(08:00) Analyzing Your Portfolio

(10:00) Conclusion
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