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Investment experts speculate that geopolitics—the Russia-Ukraine war, Donald Trump's second presidency—stock market corrections, a decline in corporate earnings, and consumer demand will be crucial to how investors could rebalance their portfolios in 2025. In this podcast, Salil Panchal discusses the year's investment landscape and why investors must be nimble and opt for a multi-asset strategy while navigating the uncertainties.
By Forbes India3.5
1212 ratings
Investment experts speculate that geopolitics—the Russia-Ukraine war, Donald Trump's second presidency—stock market corrections, a decline in corporate earnings, and consumer demand will be crucial to how investors could rebalance their portfolios in 2025. In this podcast, Salil Panchal discusses the year's investment landscape and why investors must be nimble and opt for a multi-asset strategy while navigating the uncertainties.

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