投資前先衡量風險,是面對市場不二法則。理財作家小吳醫師認為,投資不能靠運氣,而是靠系統和風險管理,他提出「投資系統5要素」,幫助投資人建立投資紀律性。在面對不確定性的系統性風險時,建議可參考「槓鈴策略」做優化,將資金80%-90%,投入長期穩健標的,其餘10%-20%則配置在具高成長潛力但波動大的資產,有效降低損失並盡可能增加獲利。 - 主持人|靖璞、孝瑜 與談人|理財作家-小吳醫師 - ★立即加入Podcast專屬交流社群 | https://lihi.cc/cL6aH -- Hosting provided by SoundOn
No persons identified in this episode.
This episode hasn't been transcribed yet
Help us prioritize this episode for transcription by upvoting it.
Popular episodes get transcribed faster
Other recent transcribed episodes
Transcribed and ready to explore now
Trump $82 Million Bond Spree, Brazil Tariffs 'Too High,' More
16 Nov 2025
Bloomberg News Now
Ex-Fed Gov Resigned After Rules Violations, Trump Buys $82 Mil of Bonds, More
16 Nov 2025
Bloomberg News Now
THIS TRUMP INTERVIEW WAS INSANE!
16 Nov 2025
HasanAbi
Epstein Emails and Trump's Alleged Involvement
15 Nov 2025
Conspiracy Theories Exploring The Unseen
New Epstein Emails Directly Implicate Trump - H3 Show #211
15 Nov 2025
H3 Podcast
Trump Humiliates Himself on FOX as They Call Him Out
15 Nov 2025
IHIP News