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In today’s episode, we discuss the ongoing uncertainty in global markets and reflect on the events from the past five years, including COVID-19, inflation, interest rates, geopolitical and their compounded effects on market volatility. In the episode, we provide insights into how investors can position amidst these uncertainties by focusing on companies with robust fundamentals and macro resilience. Despite the volatility and unpredictability, they emphasize the importance of not reacting impulsively to macro fears and maintaining a well-balanced portfolio.

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44 episodes