
Liberation Day
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About this listen
In this episode, Gary and Marcus discuss the dramatic impact of Donald Trump’s declaration of “Liberation Day” on global financial markets. With sudden tariffs and international uncertainty, investors are understandably nervous. But is this a time for panic, or perspective?
Drawing on their decades of experience and client conversations, they offer calm, expert insight into what this kind of market turbulence means - and how to respond with confidence, not fear.
Key Topics Covered
- Trump’s “Liberation Day” and its immediate impact on global markets
- The role of shock events in investment cycles
- Why staying invested is often wiser than cashing out during volatility
- Understanding tariffs and their implications for business and trade
- The importance of having a clear investment objective
- How diversification and active fund management help manage risk
- Market history: COVID, inflation, and the resilience of long-term portfolios
- The value of phased investing (pound cost averaging) during uncertain times
- The emotional side of investing and managing client confidence
Disclaimer: This podcast is for information only. Please seek independent financial advice tailored to your personal situation.
For tailored advice and support, visit kdw.co.uk or come and see us in the heart of St Albans.
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