Listen "Bonds, Interest Rates, & Your Portfolio"
Episode Synopsis
This week, Paul & William discuss the volatile year in the markets. Normally, bonds are able to reduce some of the volatility in a balanced portfolio when stock markets decline, but that hasn't been the case this year.Paul & William explain why this has happened, and also look ahead at the outlook for fixed-income investments, and how you should be positioning yourself moving forward. If you have any feedback, questions, or topics you'd like us to cover, send us an email at [email protected] views and opinions expressed in this podcast may not necessarily reflect those of IPC Securities Corporation. This podcast is for informational purposes only and should not be relied upon as a basis for investment decisions. Hosted on Acast. See acast.com/privacy for more information.
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