Jay Kaufman, CFA

Jay Kaufman, CFA, co-portfolio manager of the BMO Low Volatility Equity Fund (MLVEX), which was launched in 2012. The fund ranks in the top 2% of large-cap value stock funds over the past three years, achieving annualized returns of 12%, versus 11.2% for the S&P 500, with one-quarter less volatility. BMOGAM.com

The Calmer Stock Portfolio
Stocks

The Calmer Stock Portfolio

Jay Kaufman, CFA | March 25, 2016

How to Reduce Volatility Without Giving Up Returns Many investors believe that there is a big downside to investing in…