Topic: How To Invest

What is Pat’s commentary for the week of October 4, 2011?

Article Excerpt

Here’s the text of the quarterly letter I sent to our Portfolio Management clients in mid-August: “Many investors are fearful today, due to a variety of issues — the U.S. budget standoff, the debt crisis in Greece and elsewhere in Europe, high joblessness around the world and so on. These issues have spurred great investor interest in any investment or investment technique that seems able to maintain or raise your investment income while reducing your risk and ensuring that you earn a steady string of capital gains. The trouble is that no such investment or technique exists. Every investment and every investment portfolio exposes its owner to a balance of risk and potential reward. My view is that the best balance of risk to potential reward that’s available today is what you get when you follow our three-part approach, which we apply to the portfolios of our portfolio management clients. We invest in well-established companies; we spread your money out…