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Markets have seen significant volatility, but historical data shows resilience after downturns. In this interview with ausbiz, Robert Talevski of Activam Group explains why staying invested, monitoring key economic indicators, and diversifying portfolios remain crucial strategies for 2025. While uncertainty persists, potential rate cuts could support economic growth, presenting opportunities for investors.
Key Takeaways:
- Long-Term Perspective: Market corrections are temporary, and long-term growth remains intact.
- Portfolio Strategy: A diversified approach is essential, balancing exposure across asset classes.
- Sector & Regional Preferences: Small and mid-caps offer value, while international equities present stronger earnings potential than domestic markets.
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