Despite facing severe headwinds, the S&P 500 closed Q2 at an all-time high. Investors remain optimistic, although elevated market valuations and margin-driven earnings growth signal potential vulnerabilities.
In this webinar, which originally aired on June 26, 2025, Daniel Goodman, Senior Financial Planner at Wealth Enhancement, discusses four cash management strategies to consider.
In the June 2025 edition of “Markets Monthly: Strategies & Perspectives,” get market updates and insights from Wealth Enhancement’s Investment Management team.
Is market volatility really something to fear? Discover why long-term investors should embrace volatility, how to spot opportunities during market swings, and why media narratives often miss the mark.
Worried about market volatility? Learn when it matters most—like near retirement or with high stock allocations—and how a long-term plan can help you stay on track.
U.S. tariffs rising to 23% on April 5–9 may fuel global trade tensions, spark market volatility, and test investor resilience amid economic uncertainty.
Once the presidential election results became known stock market volatility, as measured by the VIX volatility index, declined significantly from its elevated levels in the weeks leading up to the election.
Stocks continued their torrid pace higher this week, with the Dow Jones Industrials and Standard & Poor’s 500 reaching all-time high levels, while the NASDAQ is poised to break through its July 11 record closing high.