Reported about 2 months ago
Author Nassim Taleb expressed concerns about the current state of the market, highlighting its fragility and drawing parallels to past crashes. He pointed out risks such as high debt levels and inflated stock prices concentrated in a few companies, emphasizing that the market is more vulnerable now than it has been in the last two decades. Taleb advocates for hedging against a possible collapse, reflecting on the interconnectedness of global economies and the precarious investing environment.
Source: YAHOO