Panel Workshop Details

Tues., May 15, 12:30 PM - 1:15 PM PST
Tuesday

Secrets for Managing Risk in Today's High-Risk Market

Nine years into the second longest bull market in the history of the S&P 500, investors have been lulled into a sense of complacency. Historically, this is the time that they should be increasingly focused on risk management. What are the crucial risks in the market today, and how can investors avoid devastation in the next bear market? Join the Portfolio Management Team from Stack Financial Management, as they update current bear market warning flags and reveal specific tools to reduce risk in your own portfolio.

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Annell Danczyk, CFA

Senior Portfolio Manager

Stack Financial Management

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Zach Jonson

Senior Portfolio Manager

Stack Financial Management

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Joe Laszewski, CFA,CPA

Senior Portfolio Manager

Stack Financial Management