The Long View: JL Collins - The Case for Simplicity

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  • Опубліковано 8 лис 2024

КОМЕНТАРІ • 29

  • @siedimani8770
    @siedimani8770 2 роки тому +9

    I love this guy! I agree with him completely! Thank you for the greatest guest!

  • @stillhopeful7048
    @stillhopeful7048 Рік тому

    Such a clear explanation of dollar cost averaging compared to lump-sum amount investing. I finally understood thanks to Mr. Collins!

  • @ltmsimply
    @ltmsimply 2 роки тому +4

    Awesome interview! Well done asking some great questions and pulling stuff out of JL!!! Well done guys!

  • @shazam67
    @shazam67 2 роки тому +6

    JL is a legend. For the Morningstar folks, don't be afraid to loosen up and make it a little more lively. The back and forth felt really sterile and a bit forced. Make it a conversation, not a dental cleaning.

  • @stillhopeful7048
    @stillhopeful7048 Рік тому

    Great episode! Love Mr. Colllin's wisdom and investing experience.😊

  • @jec1ny
    @jec1ny 2 роки тому +4

    Outstanding interview.

  • @michelemichele6387
    @michelemichele6387 2 роки тому

    Wonderful interview. JL is a financial independence SAVAGE!💪💪💪

  • @dyannesharp7343
    @dyannesharp7343 2 роки тому +1

    So happy J.L. is back.

  • @stevekrause5931
    @stevekrause5931 2 роки тому +1

    Very helpful interview. Thanks for providing it!

  • @dapperlink
    @dapperlink 2 роки тому +2

    This was an inspiring interview! Funny, what he calls a “Road to Damascus” moment, I call a “Saul to Paul” moment 😊😇. I’m moved to some action any time I’ve heard JL speak, even if it’s just reviewing my portfolio.

  • @christinab9133
    @christinab9133 2 роки тому +1

    Amazing!

  • @cmburns2606
    @cmburns2606 2 роки тому +1

    JL is the best

  • @kirsten121
    @kirsten121 9 місяців тому

    I just hope I can stand firm when the crash does come! I get pissed off any months that I don't win at least £25 on my UK NS&I Premium Bonds!

  • @vinodpractical
    @vinodpractical Рік тому

    So original

  • @bigshoe84ify
    @bigshoe84ify 2 роки тому +2

    The crashes are the best time to invest

  • @fredatlas4396
    @fredatlas4396 2 роки тому +1

    What about UK investors for example. Would this strategy of just investing in a total US stock market index fund or etf with maybe a bond fund to increase diversity and lower volatility, depending on the time frame available, work for UK investors

    • @lindseykerr9670
      @lindseykerr9670 2 роки тому +1

      The concept works but as a non American you can’t invest solely in the US market index funds but you can invest in the FTSE Global All Caps fund which is principally made up of the USA market. Check out JL’s UK pals Alan Donegan and Katie his wife. They run Rebel Finance School, blog and present UA-cam videos on Indexing from the UK perspective.

  • @tekootianderson
    @tekootianderson 2 роки тому +6

    He's a national (international) treasure not only in the U.S. Humbly, I think he kinda took over from Bogle to advocate for Bogle's philosophy for index funds. Cherish him people.

  • @daviddrake8742
    @daviddrake8742 2 роки тому +2

    wisdom

  • @myhouse-yourhouse
    @myhouse-yourhouse 2 роки тому

    Thank you m*!

  • @gmh953
    @gmh953 2 роки тому +2

    The problem with finance is that it's still an infant science where random amateurs get a platform.

  • @stevenlanier2422
    @stevenlanier2422 2 роки тому +4

    Jesus is LORD. Follow Him, and His words. [I love reading the Book of Acts too. Nothing like it.] In fact, I love reading the Bible overall. I know thats not popular, but its a wonderful book.

  • @Bobventk
    @Bobventk 11 місяців тому

    He is incredibly misguided on intl diversification

  • @Manofsteel519
    @Manofsteel519 2 роки тому +2

    No need for international stocks?? What a goof. Do some research. Lots of times in history international stocks have outperformed the us

    • @CoastCam
      @CoastCam 2 роки тому

      How long are you going to let intl drag down your portfolio?

    • @Manofsteel519
      @Manofsteel519 2 роки тому +1

      @@CoastCam the us has outperformed for like 10 years. There have been lots of 10 year periods where the opposite has been true. Recency bias is a dangerous thing in a portfolio.

    • @davidknecht
      @davidknecht Рік тому

      Within the S&P 500 companies, in any given year, approximately 30% to 40% of their combined revenue is outside the US. That seems like a lot of foreign exposure already. Do you think additional foreign exposure is warranted?

    • @Manofsteel519
      @Manofsteel519 Рік тому

      @davidknecht yes

    • @jamesmorris913
      @jamesmorris913 Рік тому

      I'm hesitant to invest internationally, as well. I looked at a 40 yr chart of U.S. and international..and while international does out-perform in certain periods, it's not significant..AND..it's not a true "diversifier", because the two indeces NEVER "zigged" while the other "zagged"..they always moved in the same direction (over extended periods), just in a less exaggerated fashion, at times; UNLIKE bonds, or gold; for example.