#76 Stephen Selengut | Income Strategies, Risk Minimization, and Diversification in Investments

Stephen Selengut shares his insights on investment success, starting with a discussion on equity vs debt investments and key financial indicators. They compare real estate to stock market investments and analyze the liquidity of fixed income securities. Stephen delves into investment risks and strategies for risk minimization, the government's impact on investment strategies, and navigating market and interest rate cycles. The episode explores integrating closed-end funds into portfolios, margin use in stock trading, distinctions between common and preferred stocks, and the benefits of managing closed-end funds. The role of REITs, diversification as an offensive strategy, and specializing within a diversified portfolio

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