Episode 340: National Debt, Bad Uses Of Data Via Cherry-Picking, Umbrella Insurance And Portfolio Reviews As Of May 10, 2024
In this episode we answer emails from Scott, Midas, and Neil. We discuss national debt apocalypse theories, the misuse and cherry-picking involved in bad data analyses and umbrella insurance.
And THEN we our go through our weekly portfolio reviews of the seven sample portfolios you can find at Portfolios | Risk Parity Radio.
Additional links:
Reinhardt & Rogoff Book: This Time Is Different: Eight Centuries of Financial Folly by Carmen M. Reinhart | Goodreads
Money For The Rest of Us National Debt Masterclass: National Debt Master Class Part 1/3 | Money for The Rest of Us
Security Analysis Podcast with Yours Truly: Frank Vasquez: Risk Parity Investing Part 2 (securityanalysis.org)
Portfolio Charts "Ingredients" Article: Three Secret Ingredients of the Most Efficient Portfolios – Portfolio Charts
Long Term Treasuries vs. Stock Market 1981-2010: Backtest Portfolio Asset Class Allocation (portfoliovisualizer.com)
Umbrella Insurance: What Is Umbrella Insurance Policy? Definition and If You Need It (investopedia.com)
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