
Liberation Day, Trade Wars, and Your Portfolio: What Investors Need to Know
No se pudo agregar al carrito
Solo puedes tener X títulos en el carrito para realizar el pago.
Add to Cart failed.
Por favor prueba de nuevo más tarde
Error al Agregar a Lista de Deseos.
Por favor prueba de nuevo más tarde
Error al eliminar de la lista de deseos.
Por favor prueba de nuevo más tarde
Error al añadir a tu biblioteca
Por favor intenta de nuevo
Error al seguir el podcast
Intenta nuevamente
Error al dejar de seguir el podcast
Intenta nuevamente
-
Narrado por:
-
De:
Acerca de esta escucha
Is market volatility really all about tariffs? In the wake of the unexpectedly aggressive “Liberation Day,” headlines would have you believe so. But the bigger culprit isn’t trade policy—it’s uncertainty. While U.S. markets have taken a noticeable hit, international developed markets are down only about 1.3% as of this recording. So what’s really going on? In this episode, we break down what investors need to keep in mind when the market gets shaky, including:
- Why portfolio diversification is your best defense in turbulent times
- Why volatility tends to cluster and why that makes timing the market so difficult
- The reality behind trade balances: population size and competitive advantage matter
- How using tolerance bands for rebalancing can help you make rational, not emotional, decisions
Ready to learn more?
- Scott Frank on LinkedIn
- Stone Steps Financial
- Nick Covyeau on LinkedIn
- Swell Financial Partners
Leave us a question!
Money can be confusing—but it doesn’t have to be. When you’re able to understand the complexities, you can make better decisions to improve your daily life. Connect with us at Stone Steps Financial or Swell Financial Partners.
adbl_web_global_use_to_activate_T1_webcro805_stickypopup
Todavía no hay opiniones