AI-powered
podcast player
Listen to all your favourite podcasts with AI-powered features
Navigating Market Volatility
This chapter examines the unpredictable nature of market volatility, emphasizing the impact of external factors on trading strategies as 2025 approaches. It introduces the analogy of the stock market as a 'paddling duck', highlighting the contrast between apparent calm and underlying turbulence. Additionally, the discussion focuses on sector performance influenced by political dynamics and the implications of rising interest rates on equity valuations.