
Join us on this episode of Wise Wealth as we dive into the current market dynamics, characterized by high volatility and geopolitical tensions. As the S&P 500 and Dow Jones continue their slide, we explore the factors influencing these movements, including tariff tremors and a tentative ceasefire between Ukraine and Russia that could impact global commodity prices.
We analyze the VIX's latest spike, indicating heightened trader anxiety, and discuss how savvy investors can navigate this landscape. Discover insights into small-cap resilience, tech swings, and sector-specific movements influenced by trade policies. In a day where market movement hinges on geopolitical tweets and trade headlines, learn how to strategically position yourself amidst the chaos, taking advantage of market dips while preparing for potential rebounds.
Stay tuned for tips on managing risk, spotting value opportunities, and keeping calm in an ever-shifting market landscape. With looming inflation data, earnings reports, and the Fed's next move on the horizon, arm yourself with the knowledge to make informed decisions in turbulent times. Join my daily newsletter: https://magic.beehiiv.com/v1/eaa89c27-2d05-495d-a860-d8a96a359124?email={{email}}
D'autres épisodes de "Wise Wealth"
Ne ratez aucun épisode de “Wise Wealth” et abonnez-vous gratuitement à ce podcast dans l'application GetPodcast.