
Globe Braces For Trump Tariffs; Oil Outlook For 2025
Bloomberg Intelligence
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Navigating Uncertainty in Investment Strategies
This chapter explores the current economic conditions and their effects on investment strategies, focusing on portfolio performance expectations for 2025. The speakers discuss the significance of risk management, diversification, and the fixed income market, highlighting the need for a balanced approach to stocks and bonds amidst market volatility. Additionally, it touches on alternative investments, the appeal of municipal bonds, and the evolving role of cryptocurrency in modern portfolios.
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