While most investors are thrilled with 2024’s market performance, many are also anxious about the future, particularly with the uncertainty of how the incoming administration’s policies could impact the markets. On the final WashingtonWise episode of the year, host Mike Townsend is joined by Kevin Gordon, Schwab’s senior investment strategist, to discuss why the markets are more attuned than usual to the policy and political environment, and how investors should position themselves for a potential increase in market volatility in 2025. Mike and Kevin break down five major policy issues—immigration, tariffs, taxes, the budget deficit, and deregulation—and how the markets are thinking about the potential changes that could emerge from President-elect Trump and the Republican-controlled Congress. Kevin also offers his thoughts on how investors should approach 2025.
Check out the 2025 outlook article from Kevin and Liz Ann: “U.S. Stocks and Economy 2025 Outlook.” (
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