A lot of investors stay in the lane of what they know and when the environment around them changes, they fail to act and pivot. This is the most dangerous market to operate in this way. Monetary policy, inflation and war – these are just a few of the factors putting massive pressure on the economy and our investments.
You don’t need a crystal ball to see where we’re headed financially, and if you’re not nimble and investing in stress-tested deals, you’ll learn a painful lesson the hard way.
How is a seasoned investor who lived through the Recession (and the speculative market highs that preceded it) preparing his portfolio for what’s coming? What’s really going on with the economy, and how will the situation in Ukraine impact it?
In this episode, we’re joined by investing legend and author, Neil Timmins. With almost 20 years in the investing game, he’s going to share exactly how to survive the rapidly approaching financial storm.