This podcast episode explores the potential for a market correction and the investment strategies that investors may consider in response. The experts discuss the inevitability of market corrections and emphasize the importance of long-term investing. They also examine the current market volatility and the potential downside risks to the stock market. The podcast further delves into the recent market rotation from growth to value stocks and the potential for a rally in small-cap stocks. Additionally, it analyzes the recent earnings reports of FedEx, Lululemon, and Nike, as well as the valuation and performance of the communication services sector. Finally, the challenges facing Boeing and its potential for a turnaround are discussed.