Why market volatility is an opportunity to build trust and enhance long-term returns

The Globe and Mail
March 31, 2025.

Craig Machel, Senior Portfolio Manager at Richardson Wealth, explains in The Globe and Mail that with the right approach to portfolio construction, it’s possible to capitalize on market volatility while delivering solid long-term results for clients.

“No matter the scenario, true diversification smooths out the volatility of each year’s returns while generating the same, or potentially even higher, returns through a market cycle than a pure equity and bond portfolio.”

Related articles

2025

A roadmap for engaging clients’ children and managing intergenerational wealth

November 17, 2025 - Susan O'Brien emphasizes the value of relationships and intergenerational planning for clients and their children while roadmapping for financial success.

1 minute read

2025

Women entrepreneurs, wealth, and the value of advice

October 10, 2025 - Turning a dream of entrepreneurship into reality helps many women take control of their careers, but it also means navigating complex…

1 minute read

2025

How one advisor weaves volatility offsets into client portfolios

October 7, 2025 - Francis Sabourin shares how he is adding a third wheel to his traditional mix of bonds and equities bicycle – made…

1 minute read