Listen "How Much of Your Portfolio Should Be Invested in Canada?"
Episode Synopsis
Click here to book a call with Paul: https://calendly.com/westendwealthplanning/introcall?preview_source=et_card&month=2024-07Click here to book a call with William: https://calendly.com/westendwealth/introcallAccording to a recent study, Canadian investors have allocated 50% of their stock portfolios to Canada.This week, Paul & William discuss the concept of home bias and its implications for Canadian investors. They compare the performance of Canadian investments to global ones and explore the risks and benefits associated with concentrating in Canadian stocks.Key takeaways include:- Diversifying investments globally can help to increase returns and lower volatility over long time periods- The reasons for why a certain level of home bias is sensible for Canadian investorsConnect With Paul & William:Connect with William on LinkedIn:/ williambarrecaConnect with Paul on LinkedIn:/ paulbarrecaFollow William on X:/ willbarrecaThe 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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