Reported 1 day ago
The stock market has rebounded in 2025 with the S&P 500 gaining around 2% and the Nasdaq up 1%, but the recovery follows a significant downturn spurred by tariff announcements and trade tensions. While stocks are nearing their all-time highs, investors face increased risks from high valuations and unresolved tariffs that could impact corporate earnings. Experts urge individuals to maintain long-term investment strategies and avoid reactionary decisions during market volatility, emphasizing the importance of a diversified portfolio and regular contributions.
Source: YAHOO