Trump, The Fed, And 2025’s Coming Financial Rollercoaster

Tasty cake with flag on bunch of paper dollars

Image Source: Pexels


The Federal Reserve faces mounting uncertainty, Trump’s sweeping economic policies are set to reshape markets, and the bond market remains under immense pressure—making 2025 a year of financial turbulence. In this insightful interview, Andrew Brill sits down with Jared Dillian to unpack the Fed’s 2025 outlook, the potential return of yield curve control, transformative tax reforms, and how global rebuilding efforts in Ukraine and California could drive demand for commodities. Jared also analyzes the risks of public and tech sector layoffs, stock market volatility, and offers actionable strategies to protect and grow your wealth during these uncertain times.

Video Length: 00:42:06


More By This Author:

Persistent Inflation: A Policy Problem
2025 Predictions: Markets, AI, And Global Shake-Up?
Market Recap: Bitcoin; Market Bubble; Market Fragility; Commodities;
How did you like this article? Let us know so we can better customize your reading experience.

Comments

Leave a comment to automatically be entered into our contest to win a free Echo Show.
Or Sign in with