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Gold's Love Has Come Along and a Conversation with RBC's Lori Calvasina

RiskReversal Pod

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Valuation of the S&P 500 and Market Multiple

This chapter delves into the valuation of the S&P 500 and the factors influencing its multiple. Various models and regression analyses are discussed to determine fair value and predict future earnings and PE ratios. The difference in valuation between the top 10 stocks and the rest of the index is highlighted, as well as the possibility of a new normal with a smaller group of transformative technology stocks commanding higher multiples.

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