
Market Volatility and Trade Tensions: April 10 Edition of Dividend Cafe In the April 10th episode of Dividend Cafe, Brian Szytel discusses the market's volatility following a historic rally and subsequent downturn driven by increased US tariffs on China. Topics include fluctuating VIX levels, deflation in CPI, positive movement on tax bills, rising bond yields, and widening high yield credit spreads. Szytel also addresses key questions regarding the impact of tariffs on the Chinese yuan, recession indicators, and the importance of sticking to long-term investment strategies despite market turbulence. 00:00 Introduction and Market Recap 00:24 Impact of Tariffs on US-China Trade 00:37 Volatility and Economic Indicators 02:01 Bond Market and Credit Spreads 02:57 Recession Concerns and Jobless Claims 03:44 US-China Trade Imbalance 06:09 Investment Strategy and Long-Term Planning 08:09 Conclusion and Upcoming Content Links mentioned in this episode: DividendCafe.com TheBahnsenGroup.com
From "The Dividend Cafe"
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