David Hay, Chief Investment Officer at Evergreen Gavekal, and Jeff Dick, Managing Director there, dive into the shifting market landscape. They unpack the implications of rising long-term bond yields despite central banks cutting interest rates. The duo discusses potential market volatility in 2025, raising concerns over high valuations and geopolitical risks. With insights on government spending and emerging market debt, they emphasize the need for diverse investment strategies and the importance of adapting portfolios for current economic uncertainties.