logo
episode-header-image
Jul 4
14m 21s

Market Volatility: 4 Key Factors to Trac...

MORNINGSTAR
About this episode

Sarah Hansen, Morningstar Inc’s senior markets reporter, discusses the uncertain outlook for the third quarter and how investors should prepare for market volatility.

What Was Surprising From Q2 Market Volatility

Mixed Expectations as Trump’s Tariff Deadline Approaches

How Should Investors Prepare Themselves for Market Volatility?

How Tariff Uncertainty Could Affect Company Earnings

How Trump’s Tax and Spending Bill Raises Concerns About Federal Deficit

How the Fed’s Decision on Interest Rates Could Affect the Yield Curve

Should Investors Brace for More Market Volatility?

 

Read about topics from this episode.  

13 Charts on Q2’s Major Market Rebound 

Market Volatility: What to Watch in Q2 After Big Swings in Q1 

Has the Stock Market Reached Peak Optimism on Tariffs? 

What Investors Need to Know About Tariffs 

Tariffs Would Likely Hit These US Stock Sectors the Hardest 

What Investors Need to Know About the Budget Reconciliation Bill 

The Deficit is the Biggest Risk for the Bond Market, Says Matt Eagan of Loomis Sayles 

How Much Will the Fed Cut Interest Rates? 
How Healthy Is the US Economy? Here’s What the Top Economic Indicators Say 

 

What to watch from Morningstar. 
Is the International Outlook Brighter Than the US?

Digital Advice in 2025: What You Need to Know About Robo-Advisors

Demystifying Private Equity and Private Credit ETFs: What Every Investor Should Know

Market Volatility: Portfolio Diversification Is Winning in 2025

 

Read what our team is writing:

Sarah Hansen

Ivanna Hampton

 

Follow us on social media.

Facebook: https://www.facebook.com/MorningstarInc/

X: https://x.com/MorningstarInc

Instagram: https://www.instagram.com/morningstar... 

LinkedIn: https://www.linkedin.com/company/5161/

Up next
Jun 27
Is the International Outlook Brighter Than the US?
Two Morningstar research leaders join Investing Insights to discuss whether US investors should consider international stocks and fixed income. They are Dominic Pappalardo, chief multi-asset strategist, and Philip Straehl, chief investment officer for the Americas, for Morningsta ... Show More
18m 54s
Jun 20
Digital Advice in 2025: What You Need to Know About Robo-Advisors
Lan Tran, manager research analyst for Morningstar Research Services, discusses the benefits and limitations of digital investment advice. Plus, a look at the best and worst robo-advisors of 2025. What Is a Robo-Advisor?Robo-Advisors vs. Traditional AdvisorsWho Should Use a Robo- ... Show More
24m 23s
Jun 13
Demystifying Private Equity and Private Credit ETFs: What Every Investor Should Know
Bryan Armour, director of ETF and passive strategies research for North America at Morningstar Research Services, discusses private equity ETFs and private credit ETFs. Armour also previews his session at the 2025 Morningstar Investment Conference featuring two ETF experts.Hear F ... Show More
15m 26s
Recommended Episodes
Mar 2025
What's Driving Volatility in Chinese Tech Stocks?
On today's episode, we dissect the forces driving volatility in Chinese tech stocks. Despite the recent pullback in Chinese equities, some Wall Street investors remain bullish. Morgan Stanley strategists raised their 2025 year-end index targets for Chinese stock indexes, after se ... Show More
20m 57s
Apr 2022
U.S. Stocks Rally on Strong Start to Earnings Season
The major U.S. equity indexes were all up more than 1% late in Monday’s regular trading session, with the tech-heavy Nasdaq Composite leading the way with a 1.85% gain. Stocks today seem to reflect a strong start to earnings reporting season. According to Bloomberg, 38 of the 48 ... Show More
39m 8s
Oct 2024
10-10-24 Rising Volatility, China Stimulus, & Storms' Economic Surge - What They Mean For Portfolios
All was not hunky-dory in the recent Fed meeting, as the FOMC Meeting minutes reveal a split-decision on lowering rates by 50-bps vs 25-bps. Meanwhile, in the markets, the S&P is having its Best Year Ever since the "turn of the century." The current, rising wedge is both a bullis ... Show More
46m 29s
Aug 2021
US yields jump, gold dives ahead of US inflation!
Asian stock markets kicked off the week on a positive note, although the US indices had nothing more exciting than mixed performance after the announcement of strong jobs data on Friday. The US jobs data gave a small boost to the Dow and the S&P500 which closed Friday’s session 0 ... Show More
10m 42s
Jun 25
6-25-25 The Bulls Are Back in Town
Market speculation is at an all time high, yet there are economic surprises in store that could shake things up. There is now an illusion of economic strength. Lance discusses the recent reversal of the Death Cross in the S&P and NASDAQ; the Gold Cross is at an all time high. Lan ... Show More
46m 22s
Apr 7
Musk Mulls Next Move as Stocks Swing Again
Watch Carol and Tim LIVE every day on YouTube: http://bit.ly/3vTiACF. Tesla Inc.’s stock extended losses Monday, dropping below a price at which Commerce Secretary Howard Lutnick predicted they’d never fall to again.The shares plunged as much as 9.2% to $217.41 as of 9:41 a.m. in ... Show More
29m 48s
Apr 10
Markets Plummet as Tariff-War Woes Fuel Exodus From US Assets
Watch Carol and Tim LIVE every day on YouTube: http://bit.ly/3vTiACF. Less than 24 hours after President Donald Trump backtracked on his once-in-a-century trade war to prevent a meltdown in financial markets, frantic selloffs hit US stocks, bonds and the dollar yet again as fears ... Show More
39m 34s
Apr 3
US stock markets drop sharply
LONG The White House has urged investors to trust in Donald Trump as Wall Street continues a global sell-off in response to his tariff announcement. The Dow Jones index is down more than three percent, the dollar has fallen and oil prices have slipped. Shares prices in Europe and ... Show More
47m 29s