Episode Details

Back to Episodes

Episode 17: I shouldn’t have done that…

Episode 17 Published 6 years, 11 months ago
Description

As an advisor, you have seen time and time again, investors panicking during periods of market volatility, selling at the market bottom, locking in losses, sitting out as the market recovers and finally jumping back in at the top of the recovery. Dr. David R. Lewis PhD and Pauline Kabitsis M.Sc. from BEworks, a behavioural economics consulting firm and research institute join Philip Petursson, Chief Investment Strategist, to share insights and offer advisors strategies to help curb irrational investor behavior during market volatility.

Listen Now

Love PodBriefly?

If you like Podbriefly.com, please consider donating to support the ongoing development.

Support Us