Загрузка...

Are Bonds Riskier Than Stocks? #bonds #stocks #investmentrisk #investment

Ryan Nauman hosts Zephyr’s Adjusted for Risk Podcast with guest Edison Byzyka, Chief Investment Officer of Credent Wealth Management, a $4.5B fee-only RIA headquartered in northeast Indiana. They discuss today’s macro uncertainty (Iran conflict, oil, inflation) while emphasizing skepticism and reliance on data such as economic surprise indices, forward inflation expectations, labor resilience, and high-yield spreads that don’t signal major distress. Byzyka explains how Credent defines risk primarily as drawdowns rather than benchmark-relative volatility, aiming for positive risk-adjusted returns over three-year cycles including tax and accounting alpha. He highlights key current risks: difficulty monetizing AI-related capex and lofty forward earnings expectations in mega-cap AI names, which may pressure market-cap-weighted indices and favor equal weight. They cover valuation implications for five-year returns, question fixed income’s stabilizing role, and describe using structured notes and selective constituent selection to mitigate downside while maintaining upside participation, concluding that active management and partial illiquidity may become more important in portfolio construction.

Видео Are Bonds Riskier Than Stocks? #bonds #stocks #investmentrisk #investment канала Zephyr Financial Technology
Яндекс.Метрика
Все заметки Новая заметка Страницу в заметки
Страницу в закладки Мои закладки
На информационно-развлекательном портале SALDA.WS применяются cookie-файлы. Нажимая кнопку Принять, вы подтверждаете свое согласие на их использование.
О CookiesНапомнить позжеПринять