Since the November election, financial markets have shown volatility due to promised policy changes by the incoming administration, leaving investors in a state of uncertainty.
Despite the uncertainty, investors who have maintained their positions in diversified index funds have enjoyed significant returns, with the S&P 500 averaging around 25 percent annual gains over the last two years.
While past performance suggests short-term gains, history indicates that market trends fluctuate; what has been successful may not continue to yield positive results.
The recent strong performance of U.S. equities serves as a comfort, especially following the challenges of 2022, but investors should remain cautious of future market shifts.
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