Marc Faber

How to diversify your portfolio to protect yourself from market risks? (15/20)

This post is part 15 of 20 in the series Diversify your portfolio

Discover an investment strategy inspired by Marc Faber that distributes the portfolio between gold, bonds, real estate and stocks with a technical approach based on moving averages. This method, which shows interesting results particularly for stocks and bonds, allows to reduce volatility while maintaining superior performances to the classic buy & hold.

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How to diversify your portfolio to protect yourself from market risks? (9/20)

This post is part 9 of 20 in the series Diversify your portfolio

Gold, often considered a controversial investment, produces nothing but remains an uncorrelated asset that can protect a portfolio in times of crisis. Find out why, despite its limitations, this precious metal can have its place in a diversified investment strategy.

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How to diversify your portfolio to protect yourself from market risks? (5/20)

This publication is part 5 of 20 in the series Diversify your portfolio

Discover Browne's method, which reveals effective alternatives to traditional investments and challenges our investment habits. Between cash, bonds, gold and equities, learn how to intelligently diversify your portfolio to optimize your long-term returns, even in a context of near-zero interest rates.

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