EPISODE · Oct 22, 2025 · 14 MIN
Ep: 34 | Managing Risk During Market Volatility (w/Marc Petrone)
from Worth Investing with Jonathan Wellum · host ROCKLINC Investment Partners
This episode is a clip of Jonathan Wellum and Marc Petrone, originally airing on October 22th, 2025. Marc and Jonathan discuss volatility in the market. Jonathan explains some factors affecting the market movements including global politics, private credit, a profit-taking. Jonathan cautions investors to manage their risk appropriately in light of market volatility. Marc and Jonathan also discuss the topic of inflation and the adjustments that economists can make to report inflation of 2-3%, while real rates could be as high as 2-3x what is reported. The two also discuss the new anti-fraud policy the Canadian government is announcing and the potential risks to greater government oversight into Canadians' finances and the growing concern over Canada adopting a CDBC.Follow us on social media: X | Facebook | LinkedIn | YoutubeWant help achieving your financial goals? Contact us!
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Ep: 34 | Managing Risk During Market Volatility (w/Marc Petrone)
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