{"version":"1.0","type":"rich","provider_name":"Acast","provider_url":"https://acast.com","height":250,"width":700,"html":"<iframe src=\"https://embed.acast.com/$/5b6afaddb794d5666cd13431/5c4b5cac40aba23124de9835?\" frameBorder=\"0\" width=\"700\" height=\"250\"></iframe>","title":"Behind the Markets Podcast: Phil Huber","description":"<p>Show from 1/25/19</p><p><br></p><p>In this episode of Behind the Markets host Jeremy Schwartz talks with popular financial markets blogger Phil Huber, who says it’s a mistake to blame any one factor for recent market volatility—whether it’s the Fed, worries about a trade war, or the government shutdown, Huber says you should be thinking about what you can do with your portfolio. </p><p><br></p><p>Guest:</p><p>Phil Huber is chief investment officer for Huber Financial, responsible for overseeing all investment and portfolio-management related functions. As chairman of the firm’s Investment Committee, Phil directs all research efforts that he and his team perform on asset managers, investment strategies and portfolio construction techniques.</p><p>More about him on the Huber Financial website: https://huberfinancial.com/ </p><p>Follow him on Twitter: <a href=\"https://twitter.com/bpsandpieces\" target=\"_blank\"><strong>@bpsandpieces</strong></a></p>","author_name":"Behind the Markets on Wharton Business Radio"}