EPISODE · Jul 3, 2025 · 14 MIN
Ep. 25-007 Ken Fisher on Tariffs and Volatility, Sequence of Return Risk, and More – July 2025
from Fisher Investments - Market Insights · host Fisher Investments
In this episode, Fisher Investments’ founder Ken Fisher answers a fresh batch of listeners questions. Ken discusses the post-“Liberation Day” market drop and whether investors should expect more tariff-related volatility. He also addresses sequence of return risk, before taking a closer look at the relationship between rising interest rates and the dollar. These insights and much more in this episode of the Market Insights podcast. Episode recorded on 6/18/2025 Visit our episode page, where you’ll find links to more information and resources to help you become a more informed investor. And if you have questions about capital markets, investing or personal finance, email us at [email protected]. We may use them in an upcoming episode.
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Ep. 25-007 Ken Fisher on Tariffs and Volatility, Sequence of Return Risk, and More – July 2025
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