Part 2:  Abating Risk In Your Portfolio Can Save You From the Poor House episode artwork

EPISODE · Sep 22, 2021 · 33 MIN

Part 2: Abating Risk In Your Portfolio Can Save You From the Poor House

from Blue Collar Money: Theories of Middle Class Investing · host PW Gopal

Resources/ Mentions:David Bach - Start Over Finish RichGarrett GundersenDave Ramsey - Total Money MakeoverThe Emyth   Contact:PW [email protected]@thebluecollarmoney.comthebluecollarmoney.compwgopal.com ** If the content of this episode or podcast has brought you value we would appreciate a tip at the Paypal email below.  We promise we will put the funds to good work and honor your [email protected]

Episode metadata supplied by the publisher feed · Published Sep 22, 2021

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In this episode we revisit Value #6: Cash Flow and Risk, from our BCM "Mindset of An Investor" Series, and talk through how Margin plays into abating risk in our investment habits and portfolio.

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Part 2: Abating Risk In Your Portfolio Can Save You From the Poor House

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This episode was published on September 22, 2021.

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