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Anniversary Episode: Reflections on the Podcast

Alpha Exchange

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Market Dynamics and Volatility of 2024

This chapter explores the key market dynamics and risk events of 2024, focusing on the S&P's performance and the concentrated returns of major stocks, particularly the MAG7. The discussion highlights the impact of geopolitical volatility, low stock correlation, and the importance of effective portfolio management and hedging strategies in navigating these challenges.

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