Manage episode 492534392 series 2753
Sarah Hansen, Morningstar Inc’s senior markets reporter, discusses the uncertain outlook for the third quarter and how investors should prepare for market volatility.
What Was Surprising From Q2 Market Volatility
Mixed Expectations as Trump’s Tariff Deadline Approaches
How Should Investors Prepare Themselves for Market Volatility?
How Tariff Uncertainty Could Affect Company Earnings
How Trump’s Tax and Spending Bill Raises Concerns About Federal Deficit
How the Fed’s Decision on Interest Rates Could Affect the Yield Curve
Should Investors Brace for More Market Volatility?
Read about topics from this episode.
13 Charts on Q2’s Major Market Rebound
Market Volatility: What to Watch in Q2 After Big Swings in Q1
Has the Stock Market Reached Peak Optimism on Tariffs?
What Investors Need to Know About Tariffs
Tariffs Would Likely Hit These US Stock Sectors the Hardest
What Investors Need to Know About the Budget Reconciliation Bill
The Deficit is the Biggest Risk for the Bond Market, Says Matt Eagan of Loomis Sayles
How Much Will the Fed Cut Interest Rates?
How Healthy Is the US Economy? Here’s What the Top Economic Indicators Say
What to watch from Morningstar.
Is the International Outlook Brighter Than the US?
Digital Advice in 2025: What You Need to Know About Robo-Advisors
Demystifying Private Equity and Private Credit ETFs: What Every Investor Should Know
Market Volatility: Portfolio Diversification Is Winning in 2025
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