We're joined by Ryan English, MBA, CFA, CPA, CFP®, Investment Manager and Shareholder at Foster & Motley, Inc., who shares insights on how upcoming elections may impact your portfolio. Ryan covers key factors that investors should consider as we approach Election Day 2024, and how to navigate potential market reactions to political outcomes.
Key Takeaways:
(01:03) Common client concerns about election impacts on investments.
(01:34) Why selling stocks before the election is not advisable.
(02:22) A strong labor market and inflation will shape the next president's term.
(03:19) Presidents have minimal long-term influence on the stock market.
(04:11) How energy sectors could fare under different administrations.
(05:42) Defense spending tends to increase under Republican leadership.
(06:38) Renewable energy would likely thrive under Democratic leadership.
(07:50) Geopolitical risks and tariffs shape global investments.
(09:29) Don't make portfolio changes based solely on election outcomes.
Resources Mentioned:
Ryan English -
https://www.linkedin.com/in/j-ryan-english-mba-cfa-cpa-cfp/
Foster & Motley, Inc. | LinkedIn -
https://www.linkedin.com/company/fosterandmotley/
Foster & Motley, Inc. | Website -
http://www.fosterandmotley.com
Connect With Ryan English:
info@fosterandmotley.com
+1 513-561-6640
Foster & Motley
LinkedIn: Ryan English
LinkedIn: Foster & Motley, Inc.
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