How to spot the difference By Investing.com
From Investing.com: 2024-11-23 05:00:00
Sevens Research warns of increased market volatility in 2025 due to unorthodox policies, Treasury yield shifts, and geopolitical uncertainties. Despite this, the market outlook remains positive. Certain factors like Trump administration rhetoric may trigger pullbacks but are not expected to end the rally. Rising yields and a stronger dollar could impact stock valuations, but a disorderly spike is needed to halt the rally. Trade threats could escalate into a rally killer if significant tariffs are implemented. Doubts about economic growth and Fed rate cuts could pose a major threat to market stability. If the Fed reverses its rate-cut cycle, it could invalidate current valuations, potentially ending the rally. Being able to distinguish between pullbacks and real threats will be crucial for investors in the volatile market ahead.
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