In this episode of Money and Markets TV, we deal with an important topic on everyone's mind -- how to protect your money with the U.S. economy heading for another recession. Featured guest Mike Larson -- editor of Crisis Opportunity Speculator and Interest Rate Profits -- uncover the warning signs along the road to recession, reveals which sectors of the stock market are likely to take the biggest hits, and lays out a three-pronged, conservative strategy for protecting your wealth. Then, Nilus Mattive explains how investors can stay invested in the stock market, but still protect themselves using dividend-paying stocks. Nilus also offers his sector plays, including one specific stock that's likely to weather the storm. Ron Rowland is also on hand to tell us how to use ETFs to actually make a profit from the coming downturn -- and which funds to stay far away from. We also hear from Larry Edelson on why investing in gold and Asia are good strategies for beating the recession, and from Tony Sagami on how another recession in the U.S. and Europe will affect China and other Pacific Rim economies and the lessons America can learn from the generational recession that Japan has gone through.
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