Date: Saturday, March 10, 2012
Topic: European Sovereign Debt and Global Investing
Speaker: David John Marotta, President, Marotta Wealth Management
How will the current debt crises of PIIGS countries (Portugal, Ireland, Italy, Greece and Spain) affect the global markets? Running with the crowd of investor sentiment is rarely a good investment strategy. And often the movement is counterintuitive, as when U.S. Treasuries were downgraded and there was a flight to safety in Treasuries. You need an easy and adaptable global investment philosophy that allows you to diversify your holding and still avoid big mistakes.