Navigated to 157. Market Vibes 2025

157. Market Vibes 2025

June 11
48 mins

Episode Description

Jason and Jeff delve into the volatile market landscape of 2025. They discuss the implications of tariffs, inflation, and their personal investment strategies during turbulent times.

02:29 Market Trends and Personal Portfolio Insights

07:26 Tariffs and Their Impact on the Market

17:28 Investor Strategies and Market Reactions

24:54 Reflecting on Market Timing and Cash Management

25:48 Changing Investment Strategies Over Time

26:21 Challenges of Building Cash Reserves

26:29 Debating Cash Deployment Systems

27:19 Market Volatility and Investment Decisions

29:13 Balancing Cash and Stock Investments

31:42 Inflation and Market Reactions

39:25 Concerns Over Government Debt and Bond Yields

Companies mentioned: ASML, BBB, BEP, FSLR, KNSL, LOB, WD, WRBY

*****************************************

Join our Patreon

Subscribe to our portfolio on Savvy Trader 

*****************************************

Email: investingunscripted@gmail.com

Twitter: @InvestingPod

Check out our YouTube channel for more content: 

******************************************

To get 15% off any paid plan at finchat.io, visit https://finchat.io/unscripted

******************************************

Listen to the Chit Chat Stocks Podcast for discussions on stocks, financial markets, super investors, and more. Follow the show on Spotify, Apple Podcasts, or YouTube

******************************************

2025 Portfolio Contest

2024 Portfolio Contest

2023 Portfolio Contest

See all episodes