Swinn Wealth Management Group
Mar 21, 2025 | Janet Engels and Tylar Lunke
Listen here (approximately 15 minutes).
Analysis
A more complex equity landscape and the potential for Fed policy shifts mean investors will need to be nimble in 2025.
The market pullback will take time to play out. Planning for an eventual shift to defense beats a “hope for the best” approach.
How can investors separate the policy changes that are likely to really matter for the economy from those that get a lot of press but may not have the most traction?