Listen " Navigating Market Volatility Amid Uncertain Times | Episode 044 "
Episode Synopsis
In this episode Mark discusses recent market volatility triggered by the administration’s tariff implementation and subsequent policy reversal, detailing a sharp drop and rebound in stock values.
Mark explains bear markets and corrections, referencing historical data on market crashes included in a recent Morningstar article. Key insights from Warren Buffet and the late Charlie Munger emphasize staying rational and adhering to a well-defined investment policy.
Mark talks about possible strategies during market declines, such as rebalancing portfolios or considering Roth conversions, and stresses the importance of emotional control in long-term investing.
The episode concludes with a note on tuning out market noise and maintaining focus on investment goals.
If you would like your question answered on the show, please send an email to [email protected] and put “podcast question” in the subject line.
Episode Links:
Mark’s Money Mind YouTube Channel
What We’ve Learned From 150 Years of Stock Market Crashes - Morningstar
Reply on Your Investment Policy Statement During Rocky Markets | Episode 040
Charlie Munger’s Advice for Volatile Markets - CNBC
Timestamps:
00:23 Market Volatility in April 2025
02:54 Understanding Bear Markets
03:40 Historical Bear Markets Analysis
11:01 Investment Strategies During Market Declines
20:42 Charlie Munger's Wisdom on Market Volatility
35:21 Final Thoughts and Upcoming Plans
More episodes of the podcast Mark's Money Mind
Asset Allocation in Retirement | Episode 046
05/06/2025
Stock Market Valuation | Episode 043
02/04/2025