Higher rated and higher yielding foreign banks will offer diversification of financial sector risk into foreign economies and foreign regulatory regimes. (cansofunds.com)
Unfortunately, that segment of the bond market has endured sector risk (energy and materials) as well as signs the default rate is rising back toward historical norms. (indexologyblog.com)
Is this that big of a deal to even worry about and would a mostly REIT portfolio pose a lot of sector risk even though all portfolio's combined would be properly diversified? (dividendmantra.com)