Asset managers share strategies for coping with risk and volatility

10/18/2011 | Financial Advisor online

Top asset managers met for a luncheon in New York City recently to discuss strategies for managing clients' portfolios in the volatile market. Options provide one method for managing volatility and risk, Gateway Fund manager Michael T. Buckius said. Other strategies discussed included increasing exposure to emerging markets, including Brazil, and building diversification through alternative investments.

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