This Week in Review | Market Volatility, US-Colombia Tariff Update, US & EZ GDP (Jan. 31, 2025)
The video reviews market volatility, US-Colombia tariff discussions, and US and eurozone GDP data, emphasizing the importance of embracing market fluctuations and understanding political impacts on markets.
Fisher Investments Reviews its 2025 Energy Sector Outlook
The speaker predicts that fossil fuels will continue to dominate the energy sector in 2025 due to abundant supply and technological advancements.
Fisher Investments Reviews How Investors Should Think About US National Debt
The speaker argues that government debt is not a crisis due to inflation reducing its real value.
3 Things You Need to Know This Week | US Politics, Monetary Policy & GDP Reports (Jan. 27, 2025)
The video discusses the impact of US politics, central bank meetings, and GDP reports on markets.
This Week in Review | Executive Orders, US Debt Ceiling and Q4 Earnings (Jan. 24, 2025)
The video reviews key developments in US politics, the debt ceiling, and corporate earnings, highlighting their implications for markets and investors.
Fisher Investments Reviews the Relationship Between Stocks and the US Dollar
The strength or weakness of the US dollar does not predict stock market performance.