Welcome back to another episode of Wall Street Unplugged!
This week, Andrew Horowitz, founder & president of Horowitz & Co, shows investors how to protect their portfolios during extreme volatile times.
Andrew also shares his favorite stocks to buy following the 10% pullback in the markets and which sectors you should continue to avoid.
[app_audio src=”http://traffic.libsyn.com/sainvestorradio/WSU20EP20382.mp3″] Then, I break down the collapse in oil prices. I’ll explain why there will be much more pain ahead for this sector in 2016. I’ll also highlight how other sectors – including banks and real estate – will be negatively impacted by the huge correction in the oil markets. As always, thanks for listening and good investing.Curzio Research publishes market commentary for informational and educational purposes. The opinions expressed and market conditions when the content is published may change. It is not personalized investment advice or an offer to buy or sell securities. Investing involves risk, including possible loss of principal. Do your own research and consult a qualified investment professional before making investment decisions.















