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Banking Crisis Ahead: What that Means for Market Volatility

Wealthion - Be Financially Resilient

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Canadian vs. US Companies Portfolio Breakdown and Banking Sector Concerns

The chapter explores the portfolio distribution between Canadian and US companies, emphasizing diversification across different markets and currencies. It discusses the rationale behind reducing exposure to Canadian banks due to concerns about the country's debt levels and challenges in the banking sector. The chapter also delves into potential issues in the Canadian housing market, particularly in the condo sector, highlighting the impact on investors and homeowners.

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