Ben Carlson: Why “Buy and Hold” Still Wins (Even After a 30-Year Market Crash) (Episode 48)

Ben Carlson: Why “Buy and Hold” Still Wins (Even After a 30-Year Market Crash) (Episode 48)

Summary: In this episode, Ben Carlson discusses long-term investing, the importance of diversification, managing investor psychology, and insights from his new book ‘Risk and Reward’. He shares lessons from Japan’s stock market history, debunks common investing myths, and emphasizes the value of simplicity and discipline in wealth management.

Resources: 

Key  topics:

  • Long-term investing and buy-and-hold strategy
  • Lessons from Japan’s stock market history
  • The importance of diversification and avoiding concentration risk
  • Managing investor psychology and behavioral biases
  • Insights from Ben Carlson’s new book ‘Risk and Reward’

Connect with Will Hoffman: 

 

Disclosure: Ben Carlson and Ritholtz Wealth Management are not affiliated with Hoffman Wealth Management and Private Advisor Group.
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