
#259 Hedge Fund Telemetry's Thomas Thornton On The Biggest Macro Risk That Could Trigger Panic Buttons
The Julia La Roche Show
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Navigating Market Volatility in 2025
This chapter explores the current complexities of the markets and economy in 2025, emphasizing the challenges investors face due to high debt levels and shifting political dynamics. The discussion highlights the role of social media in influencing market volatility and the implications of tariffs and interest rates on business and consumer behavior. Additionally, it examines the stress on the bond market and the potential risks posed by rising interest rates, drawing parallels to past financial crises.
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