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Searching For Value Outside the U.S. — ft. Lyn Alden

Prof G Markets

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Navigating Stock Market Corrections

This chapter examines the recent stock market correction and its historical context, focusing on factors like fiscal deficits and geopolitical influences. It emphasizes the necessity of portfolio diversification and discusses the rotation from U.S. markets to international equities as potential investment strategies. Additionally, the chapter explores the implications of U.S. tariff policies and trade deficits on the economy, highlighting the risks and complexities of such measures.

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