Articles
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1 week ago |
advisorhub.com | Kara Murphy |Kestra Holdings
Key TakeawaysIn early 2025, the broad U.S. stock market took investors on a wild ride, climbing to record levels before falling into correction territory. Policy uncertainty was largely to blame. Companies that led the market higher in recent years were hit hardest, including stocks that had come to be known as the Magnificent 7. A number of asset classes and sectors remained resilient. The U.S. economy remained on solid footing, but a longer stretch of elevated uncertainty could take a toll.
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