Episode 289: The Waiting Game
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In this week's episode David and Ian discuss the S&P 500 continuing to be rangebound, sector rotation and industry performance during different points of the market cycle. They also discuss what it would look like if there is a mid-year 8-12% correction which would be perfectly normal with mid-term year seasonality. Other topics discussed is cryptocurrencies, Nvidia earnings reaction, materials and miners, microcaps, international equities, interest rates, private credit, and the U.S. Dollar.
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