Preparing for the worst: Managing risk in light of a troubled Eurozone
Dr. Laurence Wormald, head of research, SunGard's APT
on
March 28, 2012
Tags:
risk
Since the Greek crisis triggered the current atmosphere of instability in the Eurozone, investors have wanted to know:
"What are the economic effects of individual countries leaving the Euro - and how will stocks in my portfolio be affected if the Eurozone ceases to exist altogether?"
Listen to this FactSet podcast interviewing Dr. Laurence Wormald, head of research, SunGard's APT, to find out how investors can gauge expected results from a possible Euro breakup, default of one of the PIIGS countries, and other scenarios for the troubled Eurozone.
Listen to the podcast