How to Avoid Portfolio Isolationism

Capitalizing on developing trends happening in international equity markets is critical for building long-term wealth, yet many investors are under-allocated to international equities.

On the upcoming webcast on Tuesday, Jan. 30 (available live and on demand for CE Credit), Avoiding Portfolio Isolationism, Christopher Davis, Chairman and Portfolio Manager of Davis Advisors, and Danton Goei, Portfolio Manager of Davis Advisors, will outline the current global market environment and highlight the various worldwide opportunities that may help investors diversify portfolios and potentially improve returns.

For instance, the Davis Select Worldwide ETF (NasdaqGM: DWLD), which is managed by Goei, focuses on long-term global opportunities that incorporate Davis Advisors’ judgement experience, high conviction, low turnover, accountability and alignment.

“In the United States and other developed markets, we own some of the most globally diverse multinational companies with strong long-term growth prospects and deep competitive moats. We invest in leading businesses where we believe profit margins and earnings have room to expand, yet are selling at a discount to true value,” according to Davis Advisors.