Tag Archives: Portfolio

FEATURE

Understanding Corrections While Investing and Powering Through Bear Markets (Ep.9)



Making investment decisions based on fear, greed, and listening to the media has the potential to cause some major damage to your portfolio. 

Investing can be risky, but the potential for reward is high if you know how to handle your investments when the market is low.

In this episode, Ken Ouellette takes a look at the stock market from the perspective you didn’t know you needed as Ken examines the market corrections and provides valuable techniques you can use to handle a bear market situation.

Ken discusses: 

  • The difference between corrections and bear markets
  • The causes of a bear market
  • Bear markets from a historical perspective
  • How to approach a bear market to protect your investments
  • And more

Resources: 

Connect with Ken Ouellette:


FEATURE

5 Steps to Handle Market Volatility (Ep.8)



Volatility is often associated with the markets going down. But, if you have well thought-out and effective strategies in place, volatility can be what makes you money. 

In this episode, Ken Ouellette talks about the importance of volatility. He shares must-know recommendations to handle its ups and downs with less stress, and more financial security. 

Ken discusses: 

  • The importance of not panicking during market volatility
  • What it means to actively assess your risk portfolio and how it’s done 
  • Why you can’t trust everything you hear about volatility on various advertised media outlets
  • How to remove emotions from your finances
  • And more

Resources:

Connect with Ken Ouellette: