Behind the Markets Podcast cover image

Time to Buy the Dip?

Behind the Markets Podcast

CHAPTER

Navigating Market Volatility and Geopolitical Strategies

This chapter explores long-term investment strategies amid market volatility, focusing on the shift towards dividend-paying stocks while assessing the role of bonds. The discussion highlights the implications of geopolitical tensions, particularly between the U.S. and China, and their potential impact on trade relations and the stock market. The speakers emphasize the necessity of strategic negotiations with allies in navigating economic policies and mitigating trade tensions.

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