How to adapt to continued volatility in markets

01/6/2012 | Financial-Planning.com

Whether or not policymakers resolve the European debt crisis, Wall Street is counting on a rocky ride ahead in 2012, some experts say. To contend with this certain uncertainty, financial advisers should consider risk management when counseling investors. Strategies include diversifying asset classes, ensuring that not all assets in a portfolio are correlated and rebalancing portfolios periodically but not too often.

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