Too Much Noise, Too Little Change: A Mid-Year Market Review episode artwork

EPISODE · Jun 30, 2025 · 34 MIN

Too Much Noise, Too Little Change: A Mid-Year Market Review

from Enlightenment - A Herold & Lantern Investments Podcast · host Keith Lanton

June 30, 2025 | Season 7 | Episode 25The financial landscape of 2025 has been a study in contrasts—headlines scream chaos while markets whisper stability. As we close the first half of the year, this paradox becomes our focal point.Despite a backdrop of Middle East conflicts, Russia-Ukraine escalations, nuclear tensions between India and Pakistan, and significant domestic policy shifts including President Trump's inauguration, major US equity indices have remained surprisingly steady. The S&P 500 and Nasdaq have gained roughly 5%, with mid-caps and small-caps showing modest declines. The Federal Reserve has maintained its benchmark rate at 4.25-4.5%, and oil prices have barely budged.Yet beneath this apparent calm, tectonic shifts are occurring. The US dollar has weakened by 10%, while gold and silver have surged over 23%. Bitcoin has gained 14%. These movements tell a story that headline numbers miss—growing questions about US exceptionalism and fiscal health, particularly as the "Big Beautiful Bill" makes its way through Congress with potential to add $3 trillion to the deficit over the next decade.This evolving landscape creates strategic opportunities across asset classes. Municipal bonds now offer compelling yields with tax-equivalent returns approaching 9% for high-income earners in states like California and New York. The weakening dollar provides unexpected tailwinds for US multinationals like Apple, which derives 64% of its revenue from overseas markets—a complete reversal after years of currency headwinds.For individuals planning retirement, particularly those considering Medicaid strategies for long-term care, the landscape may be changing dramatically. The pending legislation could shift state responsibilities, potentially reducing care quality and necessitating reconsideration of private insurance options.As we navigate the second half of 2025, the key to success may lie in distinguishing between market noise and meaningful signals. The daily headlines will continue to suggest volatility, but the real story may be found in the subtler shifts of currency markets, yield curves, and legislative developments.** For informational and educational purposes only, not intended as investment advice. Views and opinions are subject to change without notice. For full disclosures, ADVs, and CRS Forms, please visit https://heroldlantern.com/disclosure **To learn about becoming a Herold & Lantern Investments valued client, please visit https://heroldlantern.com/wealth-advisory-contact-formFollow and Like Us on Youtube, Facebook, Twitter, and LinkedIn | @HeroldLantern

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June 30, 2025 | Season 7 | Episode 25 The financial landscape of 2025 has been a study in contrasts—headlines scream chaos while markets whisper stability. As we close the first half of the year, this paradox becomes our focal point. Despite a backdrop of Middle East conflicts, Russia-Ukraine escalations, nuclear tensions between India and Pakistan, and significant domestic policy shifts including President Trump's inauguration, major US equity indices have remained surprisingly steady. The ...

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