Stuart Bilton, Chairman and CEO of Aston Asset Management, spoke with Tommy Fernandez of MutualFundWire.com about Aston’s process and criteria for selecting new investment managers.
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Note: Small- and mid-cap stocks are considered riskier than large-cap stocks due to greater potential volatility and less liquidity. Growth stocks are generally more sensitive to market risk and thus may be more volatile than other stocks. Bond funds are subject to interest rate and credit risk similar to individual bonds. As interest rates rise or credit quality suffers, an investor is susceptible to loss of principal. Investing in foreign markets involves the risk of social and political instability, market illiquidity, and currency volatility.
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