From Liberation Day Chaos to Cautious Recovery The second quarter of 2025 started with the April 2nd “Liberation Day” tariff announcement that sent shockwaves through global financial markets. What began as extreme volatility and panic selling evolved into a remarkable recovery that saw the S&P 500 not only reclaim its losses but push to a…| Cornell Capital Group
An in-depth analysis of the recent stock market decline driven by Trump’s tariffs, rising risk premiums, and shifting valuations. Insights for long-term investors| Cornell Capital Group
Analyzing 2024 stock market performance and assessing the outlook for 2025. Discusses the role of earnings growth, valuations, and potential risks.| Cornell Capital Group
In Q3 2024 the market continued to increase, but it was no longer driven by the big tech companies.| Cornell Capital Group
The remarkable performance of the market in Q2 was driven by the Magnificent 7 tech stocks. Despite healthy returns, the valuation level and concentration of gains raise questions. Explore the implications for future long-run returns. Insights from Prof. Shiller’s data and economic indicators reveal potential challenges ahead.| Cornell Capital Group