We’re officially in a bear market, so what does this mean for investors? In this episode, Rob Auclair discusses what investors should know about bear markets, how to understand bear markets within a historical context, and how pulling out of the market could affect portfolios.
Topics Discussed:
- Average duration and return of bear markets historically
- What bear markets mean for retirees
- Hypothetical performance of asset allocation portfolios
- What jumping in and out of the market may cost you
The opinions voiced in this material are for general information only and are not intended to provide specific advice or recommendations for any individual. While our best intentions are to provide accurate and timely information, you should always consult with retirement, tax, and legal professionals prior to taking any action.