Investor Strategy: Playing “D” (diversification, that is)

Share

Combining different asset classes that behave differently in various market regimes provides greater portfolio stability — reducing overall risk and the risk of making a behavioural mistake. Finding diverse sources of diversification remains prudent for portfolios with so many moving parts in the markets.

 

Also in this report, the great Canadian disconnect. The TSX is hitting record highs while the economy is still not out of the woods.

 

Click here for a copy of the report.

Categories