ON THIS EPISODE WE COVER:
- Sid's psychological theory of real money vs unreal (notional) money!
- Visual proof that rebalancing works via charts! (click this link to see it yourself while you listen: https://freefincal.com/wp-content/uploads/2021/05/Difference-between-rebalancing-and-not-rebalancing-on-a-Nifty-500-plus-gilt-index-portfolio-for-15-years-with-50-50-allocation.jpg)
- AMAR and his life situation, and the problem with ONLY investing in hybrid funds
- What are the fixed income product options to carry out rebalancing in an easy way. FDs vs Debt Mutual Funds.
- Another pearl of wisdom by Pattu on Risk Appetite
- AKBAR and his life situation, and the problem with being too heavily skewed towards Debt
- ANTHONY and his life situation at 45 years old. Going all out in Equity is risky.
- A listener's question about not rebalancing for the first 15 years
- The practical way to invest for separate goals. Separate portfolios?
- Pattu on investors who want guarantees at the start of their journey
- A high school teacher with a low salary asks Pattu how to invest
See omnystudio.com/listener for privacy information.
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