VRA Investing Podcast: Political Strategies, Collateral Damage, And Market Volatility - Kip Herriage

20 hours ago
41

In today's episode, Kip breaks down recent market turbulence, including today's rough start to the week. Despite these tough conditions, Kip highlights the potential for a bounce-back, given a few key market analytics and current extreme oversold levels. Additionally, Kip presents a contrarian perspective on recession fears, arguing that market decline is more of a short-term US-centric event amid strong global markets. Tune into today's podcast to learn more.

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