Markets 2022: Managing Volatility

Last update - 20 January 2022 By Rivkin

During this discussion, our Senior Portfolio Manager, Oliver Gordon, gives an overview of Market Volatility in 2021, the potential Economic Themes for 2022, and how to use multiple asset classes in your portfolio to smooth returns. He then introduces Rivkin's Low Volatility Strategy, one of Rivkin's investment strategies for managing Volatility, the history of the approach, past performance, and how to manage potential volatility in your investments.

You’ve reached your monthly articles limit, but that’s not the end.

Get unlimited access to our free resources.

  • Education Hub: extensive library for all levels of experience

  • Stock Updates and Scans: covering ASX, S&P500, Nasdaq and weekly scans

  • Live Webinars: where our experts share valuable insights and strategies

Be the first to know. Get the Morning Market Wrap each morning.