Capitalist Investor
Capitalist Investor
Strategic Wealth Partners
Managing Portfolio Risk Before and During Retirement
18 minutes Posted Mar 26, 2026 at 5:00 am.
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Show notes
As retirement approaches, the margin for error narrows. What helped build wealth may no longer be appropriate once income replaces accumulation, and poorly managed risk at this stage can have lasting consequences. In this episode, the discussion centers on how portfolio structure should evolve before and after retirement. The conversation explores the impact of market downturns at the wrong time, the importance of rebalancing, the risks of concentrated positions, and why relying on past...