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Kenneth L. Fisher published a new column in The Globe and Mail addressing recent geopolitical tensions involving Iran and the potential impact on investment strategies.
Fisher argues that investors should not allow short-term conflict risks, such as those arising from turmoil near Iran, to cloud their long-term decision-making. He advises market participants to focus on underlying economic fundamentals rather than reacting to geopolitical events, emphasizing that markets typically adapt to such shocks over time. Fisher's approach encourages resilience and a fact-based view for those considering strategic allocation in light of global uncertainties.