Doubts over interest rates and the over-concentration of stock markets hint at a need for more robust, diversified portfolios going into the final months of 2025. Seb Morton-Clark and co-host Caroline Shaw assess the risks - and what we should be doing about them - with portfolio managers James Durance and Tristan Purcell.
With additional contributions from real estate credit analyst Othman El Iraki.
See omnystudio.com/listener for privacy information.
Published on 13 hours ago
If you like Podbriefly.com, please consider donating to support the ongoing development.
Donate