By Daniel Shvartsman
We posted yesterday's roundtable, the first part of a three-part series featuring Marketplace contributors' stances on how to handle the current bear market climate, before the 'full' bear market had set in. Well, after another 7%+ drop and no clear signs of when things will stabilize, today's segment should be timely. It focuses on how to put recent events into a broader historical context, and how authors are managing their own portfolio risk and their emotions.
As mentioned yesterday, we asked nine total questions about how our authors diagnose the current