In a financial landscape shaken by unprecedented rate hikes, investor confidence is being put to the test.
While rising interest rates have taken markets by surprise, this challenge isn’t insurmountable. This article provides us with a roadmap: Maintain a safety margin in portfolios, Lean on valuation and momentum for short-term forecasts, and Prioritise the long-term fundamentals.
Amidst uncertainty, the guiding star is diversification. And adapting a consistent methodology helps investors make headway in the shifting economic tides.
Find out why Dan believes successfully navigating tomorrow’s uncertainty starts with today’s preparation…