You need to be logged in to view this video
Bull, Bear, Bottom, & Bounce: How to Profit in Volatile Markets
Released on Thursday, May 26, 2022•MARKETS
Over 32 years of managing money professionally have taught me a few lessons on how to successfully navigate a bear market. Taking my playbook from the 2001 and 2008 market crashes, I will present to MoneyShow participants the process I have successfully used in the past to limit your risk and keep your money safe during a bear market—then profit by identifying when its safe to go back into the water. As one of the few portfolio managers to have identified and prepared for the current bear market before it occurred, I will present my proven process to identify and trade during the three stages of a bear market. Bull. Bear. Bottom. Then bounce.
Keith Richards has been in the securities industry since 1990 and is a highly regarded member of the small, exclusive community of Chartered Market Technicians in Canada. As portfolio manager in his current practice, ValueTrend Wealth Management, he manages over $200 million and runs a discretionary investment service for high-net-worth clients. Mr. Richards' articles appear regularly in Investors Digest, The MONEYLETTER, and The Globe and Mail and the Toronto Star newspapers. His appearances on BNN Television have inspired producers to acknowledge him as "one of [our] most accurate technical analysts." Mr. Richards' first book, SmartBounce: 3 Action Steps to Portfolio Recovery, is available in bookstores and directly through his blog page www.smartbounce.ca. His new book, Sideways: Using the Power of Technical Analysis to Profit in Uncertain Times, is also available in bookstores.
Filter By Category
Filter By Keywords