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The Secular Bull Market Isn't Dead: Jim Paulsen on Why Tariffs Won't Break It

Excess Returns

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Navigating Market Turmoil

This chapter discusses strategies for managing investments during market volatility, emphasizing the significance of context, rational thinking, and maintaining a long-term perspective. It addresses the impact of economic indicators, geopolitical events, and monetary policies on market fluctuations, while also examining historical tariff effects and household debt dynamics. The conversation ultimately highlights the resilience of the private sector and the opportunities that current market conditions present for long-term investors.

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