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Episode 333 - The Presidential Puzzle: Trump's Win and Expected Stock Returns

The Rational Reminder Podcast

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Exploring the Impact of US Politics on Global Market Returns

This chapter explores the impact of US presidential outcomes on global stock returns and financial modeling. It emphasizes the interconnectedness of markets and how US political data serves as a proxy for global risk aversion, with trends observed in countries like Canada, Australia, Germany, and the UK.

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