Risk management in investing

Steve Sosnick, Interactive Brokers’ chief strategist, discusses investor risk taking in a market with excessive volatility.

A global pandemic and resulting economic shock has resulted in stock market price swings that are challenging for investors to navigate.

In such times when investing can be unpredictable, it is crucial to look at beta and risk exposure.

Photo Credit: Gael Varoqauax via Flickr Creative Commons