Can you really profit from market volatility? According to Andy Tanner, the answer depends less on predicting the next crash and more on preparing for it. In this episode, he explains how experienced investors use education, risk management, and discipline to turn uncertainty into opportunity. In this episode of Rich Dad Stockcast, host Del Denney sits down with Rich Dad Advisor Andy Tanner to explain how experienced investors approach market volatility differently from the average investor. Instead of trying to predict the next crash, Andy shares why preparation, education, and emotional discipline create the biggest investing opportunities. You’ll learn why professional investors view volatility as a buying opportunity, how risk management can protect your portfolio during uncertain markets, and why waiting until fear takes over is often too late. Andy also explains the difference between prediction and preparation, how option strategies can serve as portfolio insurance, why valuation matters during periods of market optimism, and how today’s AI-driven market compares with previous investment bubbles. Whether you’re investing in stocks, building long-term wealth, or preparing for the next market correction, this episode offers a practical framework for making better decisions when emotions run high. Rather than reacting to headlines, you’ll learn how disciplined investors position themselves before volatility arrives—and why those moments often create the greatest wealth-building opportunities. In this episode, you’ll learn: Why market volatility creates investing opportunities How professional investors prepare instead of predict The role of options as portfolio insurance Why valuation matters more than market headlines How to build confidence before the next market correction 🎯 Visit https://bit.ly/3JsRdmj for access to FREE investing tools, including Andy’s “Power of 6” ebook. 00:00 Volatility as Opportunity 00:53 Black Swans and Readiness 04:35 Training for Crisis Moments 09:21 Storm Clouds and Valuations 18:23 Options Insurance and VIX 28:03 ARMOR Risk Management 30:56 Where to Learn More 32:25 Final Takeaways and Outro
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