Peter Schiff Active Management Link

: Shifting exposure away from the U.S. dollar and into international markets with stronger fundamentals and lower debt-to-GDP ratios.

: Selecting specific companies with high dividend yields and strong balance sheets to provide a steady income stream even in volatile markets.

Schiff’s active management, primarily executed through Euro Pacific Asset Management and its various funds, typically involves: Peter Schiff Active Management

: Schiff has used his platform to criticize aggressive corporate Bitcoin strategies—specifically MicroStrategy (MSTR) —arguing that their preferred stock funding model is unsustainable and could lead to forced liquidations. Active vs. Passive Performance

As of early 2026, Schiff has remained vocal about several key market shifts: : Shifting exposure away from the U

: Unlike passive index funds, Schiff’s team actively adjusts portfolios based on economic forecasts, such as his well-known skepticism of Federal Reserve policies. Recent Portfolio Focus & Critiques

: A heavy emphasis on gold and gold mining stocks as a hedge against inflation and currency devaluation. Recent Portfolio Focus & Critiques : A heavy

: He recently echoed sentiments that a 60/20/20 split (stocks/bonds/gold) is becoming the new "anti-fragile" standard, replacing traditional 60/40 portfolios.