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What’s It Like to Be a Financial Journalist? (With Dion Rabouin)

April 5, 2024
in Trade Tube
Reading Time: 3 mins read
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How do you find reliable information about the markets and the economy? It’s one thing for individual investors to struggle with financial jargon and context, but what about professionals? 

In this episode, Kathy Jones interviews Wall Street Journal reporter Dion Rabouin. They discuss Dion’s background and his path to becoming a journalist, his transition to different media formats, current topics in the economy and markets, and how he works to find reliable sources and seek out additional information and context. Dion shares his experiences and insights as a journalist and provides tips for investors on how to approach getting the information they need to make informed decisions. The conversation highlights the importance of understanding the bond market, accessing data directly from reliable sources, and being open to surprises and new perspectives in market coverage. 

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Finally, Kathy and Liz Ann offer their outlook on the coming week’s economic data.

You can check out Dion’s podcast Take on the Week ( and follow his Market Takes videos on YouTube ( .

On Investing is an original podcast from Charles Schwab ( . For more on the show, visit schwab.com/OnInvesting ( .

If you enjoy the show, please leave a rating or review on Apple Podcasts ( .

 

Important Disclosures

The information provided here is for general informational purposes only and should not be considered an individualized recommendation or personalized investment advice. The investment strategies mentioned here may not be suitable for everyone. Each investor needs to review an investment strategy for his or her own particular situation before making any investment decision. 

All expressions of opinion are subject to change without notice in reaction to shifting market conditions. Data contained herein from third-party providers is obtained from what are considered reliable sources. However, its accuracy, completeness, or reliability cannot be guaranteed. 

Examples provided are for illustrative purposes only and not intended to be reflective of results you can expect to achieve.

All corporate names and market data shown above are for illustrative purposes only and are not a recommendation, offer to sell, or a solicitation of an offer to buy any security. Supporting documentation for any claims or statistical information is available upon request. 

Investing involves risk, including loss of principal.

Performance may be affected by risks associated with non-diversification, including investments in specific countries or sectors. Additional risks may also include, but are not limited to, investments in foreign securities, especially emerging markets, real estate investment trusts (REITs), fixed income, small capitalization securities and commodities. Each individual investor should consider these risks carefully before investing in a particular security or strategy.

The comments, views, and opinions expressed in the presentation are those of the speakers and do not necessarily represent the views of Charles Schwab.

The policy analysis provided by the Charles Schwab & Co., Inc., does not constitute and should not be interpreted as an endorsement of any political party.

The information and content provided herein is general in nature and is for informational purposes only. It is not intended, and should not be construed, as a specific recommendation, individualized tax, legal, or investment advice. Tax laws are subject to change, either prospectively or retroactively. Where specific advice is necessary or appropriate, individuals should contact their own professional tax and investment advisors or other professionals (CPA, Financial Planner, Investment Manager) to help answer questions about specific situations or needs prior to taking any action based upon this information.

Past performance is no guarantee of future results and the opinions presented cannot be viewed as an indicator of future performance.

Fixed income securities are subject to increased loss of principal during periods of rising interest rates. Fixed income investments are subject to various other risks including changes in credit quality, market valuations, liquidity, prepayments, early redemption, corporate events, tax ramifications and other factors.

Forecasts contained herein are for illustrative purposes only, may be based upon proprietary research and are developed through analysis of historical public data.

Commodity-related products carry a high level of risk and are not suitable for all investors. Commodity-related products may be extremely volatile, may be illiquid, and can be significantly affected by underlying commodity prices, world events, import controls, worldwide competition, government regulations, and economic conditions.

Indexes …

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