Since Donald Trump took office, the market has seen renewed volatility driven by policy shifts, geopolitical tensions, and investor uncertainty around fiscal direction. While certain sectors have shown strength, overall market performance has been uneven as investors react to rapidly changing economic signals.
As of late May, the S&P 500 has had a dynamic start to the year, shaped by shifting economic signals and investor sentiment. We are positive year to date!
Friday proved no different, with new tariffs announced creating fresh volatility in the numbers. Now will these tariffs stick or be rolled back like many others, only time will tell!
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