243. Investment Strategy in an Election Year: Is a Market Correction Coming?
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Is a market correction on the horizon? In this episode of the A Wiser Retirement® Podcast, we discuss key strategies for investing during an election year. We explore the stock market's average rise during election years, emphasizing the value of long-term investment strategies and avoiding market timing. We also cover the importance of having a cash reserve for downturns, rebalancing portfolios during sell-offs, and staying invested through political cycles.
Related Podcast Episodes:
- Ep 182: Investing for the Long Haul: Creating a Retirement-Focused Investment Strategy
- Ep 225: Will the 2024 presidential election influence the stock market?
Related YouTube Videos:
- Pros and Cons of Dividend Investing
- Does lump sum investing beat dollar cost averaging?
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This podcast was produced by Wiser Wealth Management. Thanks for listening!
Chapters
1. Market Correction and Election Year Concerns (00:00:00)
2. Market Volatility and Political Uncertainty (00:06:28)
3. Long-Term Investing Strategies and Market Analysis (00:13:09)
4. Market Corrections and Investment Strategies (00:25:31)
5. Behavioral Finance and Investment Strategies (00:36:29)
283 episodes