Mental Models discussed in this podcast: Modern Portfolio Theory Compound Interest Rebalancing Beta / Volatility Please review and rate the podcast If you enjoyed this podcast and found it helpful, please consider leaving me a rating and review. Your feedback helps me to improve the podcast and grow the show’s audience. Follow me on Twitter […]
36 – What is Risk? Price Risk, Volatility, and Beta (Types of Investing Risk)
https://podcasts.apple.com/us/podcast/36-what-is-risk-price-risk-volatility-beta-types-investing/id1273404123?i=1000444970478 Mental Models discussed in this podcast: Velocity – Direction matters Relative vs Absolute measures Volatility / Beta Risk Please review and rate the podcast If you enjoyed this podcast and found it helpful, please consider leaving me a rating and review. Your feedback helps me to improve the podcast and grow the show’s audience. […]
How forced liquidation of Short Volatility ETNs (XIV) could cascade into a Stock Market Crash
If you’re anything like me, you might have been surprised at the 4% drop in the S&P 500 (SPY) and the DJIA today when you got home from work. However, that is nothing compared to the massive volatility spike that occurred in the CBOE VIX index. The VIX index is a formula based index that […]
Mythbusting: Stocks are riskier than Bonds (Episode 001)
In this episode of The DIY Investing Podcast, I discuss the common myth that stocks are riskier than bonds. Join me as I bust this myth, by discussing the capital asset pricing model, beta, volatility, and redefine risk for an investor. See below for an approximate transcript of the podcast: Hello and welcome to Episode […]