Sound Investing

What 2025 Taught Us About Investing (And Why “Normal” Matters)

18 snips
Jan 7, 2026
Discover what 2025 revealed about investing, including the unexpected performance of the Magnificent Seven stocks. Learn why diversification was crucial and how different asset classes fared, with some surprising wins and losses. Delve into the importance of aligning portfolios to risk and return rather than chasing fads, and explore two valid approaches to fixed income investing. Paul shares insights from over 50 years of data to help investors stay the course during market volatility.
Ask episode
AI Snips
Chapters
Transcript
Episode notes
INSIGHT

Big Winners Aren't Always The Obvious Ones

  • Only two of the Magnificent Seven beat the S&P 500 in 2025 despite the S&P's strong 17.7% return.
  • Five of the ten equity asset classes in Paul Merriman's ultimate buy-and-hold beat the S&P 500 and averaged just over 40% for the year.
INSIGHT

Extreme Dispersion Across Asset Classes

  • The ten equity asset classes ranged from 1.4% (REITs) to 49.6% (international small-cap value) in 2025.
  • Wide dispersion across asset classes highlights why diversification can dramatically change outcomes.
ADVICE

Match Portfolio To Your Needs

  • Build portfolios to match your required return and risk tolerance rather than chasing predictions.
  • Choose the right mix of equities and fixed income now and plan how that mix may change over time.
Get the Snipd Podcast app to discover more snips from this episode
Get the app