Author questions whether the S&P 500 can withstand dollar weakness, geopolitical strain, and political turmoil, asking if it could decline long-term.
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The dollar is tanking. Countries are moving away from America and the relationship and general trust towards America are strained. There is a lot of public unrest and political turmoil. Yet the S&P500 is steadily rising. And almost everyone is still insistent that it’s a good choice to keep buying it.
Is the S&P500 really immune to any factors like these and will it just continue to grow in the future or do you think there is genuinely chance it will start to go down in the long-term?