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Gerard O’Reilly on Academic Research and Stocks

Masters in Business

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Navigating Market Volatility and Future Strategies

This chapter examines market volatility during crises, such as the financial meltdown of 2008 and the pandemic of 2020, highlighting the unpredictable nature of volatility spikes. It also discusses strategies for diversifying investments amid rising interest rates and inflation, emphasizing the importance of planning over prediction in financial decisions. Additionally, the speaker shares personal insights from their academic background in physics and offers advice for aspiring finance professionals on ethical decision-making and client impact.

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