Investing Insights

2025’s Winners and Losers, from Gold to Small Cap Stocks to the 60/40 Portfolio

15 snips
Oct 24, 2025
In this discussion, Amy Arnott, a portfolio strategist at Morningstar, and Dan Kemp, Chief Research Officer at Morningstar Investment Management Europe, dive into market insights for 2025. They explore why gold purchases are rising among central banks, the underperformance of small caps, and the reasons behind international stocks outpacing U.S. equities. Kemp highlights the 'Cockroach Hunt' in financial services and emphasizes identifying quality opportunities in the sector. Both guests advocate for a long-term investment strategy amid market volatility.
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INSIGHT

Volatility Is Uncomfortable But Normal

  • Market volatility has edged up recently due to tariff headlines, budget fights, and growth concerns.
  • The VIX in the low 20s is near historical average and not extreme, so volatility is normal for investing.
INSIGHT

Credit Bonds Are Vulnerable To Slowdowns

  • High-yield bonds weakened recently amid growing growth concerns and recession fears.
  • Credit-sensitive bond segments can suffer quickly if economic momentum worsens.
INSIGHT

Short Shutdown, Big Debt Risk For Treasuries

  • The government shutdown hadn’t materially moved 10-year yields, which sat just below 4% at recording.
  • Prolonged shutdowns or rising debt concerns could push yields higher and test Treasuries' safe-haven status.
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