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Navigating long-term investments amid short term volatility

The OMFIF Podcast

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2025 Capital Market Outlook

This chapter examines the 2025 capital market assumptions, focusing on anticipated returns and volatilities for equities and bonds, which are noted to be lower than in previous years. It also addresses currency predictions, particularly the US dollar's expected depreciation, while reinforcing the importance of a resilient long-term investment strategy amidst market fluctuations.

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