This Animal Spirits podcast episode discusses the recent stock market correction and its potential implications. The hosts, Michael Batnick and Ben Carlson, analyze market data, contrasting the sharp downturn with previous corrections and considering the impact of political uncertainty (specifically, the Trump administration's policies). They offer perspectives on diversification (including bonds and international markets) and caution against impulsive reactions to market volatility, emphasizing the importance of long-term investment strategies. A key takeaway is the advice to adjust portfolio allocation rather than completely liquidating holdings during market downturns.
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