Most financial advisors are using portfolio risk measures that are just extensions of a discredited method to measure risk; risks that led to several financial collapses. These risk numbers only work in normal conditions; like an umbrella that opens only when there is no rain. Watch the show to understand why and how to solve the problem.
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- Show
- PublishedFebruary 9, 2023 at 7:41 PM UTC
- Length17 min
- RatingClean
