Managing Portfolio Volatility In An Uncertain World

By Mark Barnicutt on October 4, 2011

The global debt crisis, particularly for governments in Europe & the United States, has created an environment of uncertainty that has led to a period of extreme capital markets volatility around the world.

At HighView Financial Group, our view remains that it will take many years to address these debt excesses – which were created over more than two decades. As a result, we continue to believe that global capital markets volatility will unfortunately remain a part of investing for the foreseeable future.

For this reason, we recently sat down with Greg Rodger, Chief Investment Officer of HighView Financial Group to discuss how he and the investment team at HighView design client portfolios to successfully navigate the global turbulence and mitigate portfolio volatility.

To read this article, please click here.

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