🎥 Monthly Market Update from April: Lessons From a Historic Month

April was one of the most volatile months in recent market history. From sweeping tariff announcements to a surprising economic contraction, investors faced a whirlwind of uncertainty. At one point, the S&P 500 fell over 12%—only to rebound and finish the month nearly flat.

Amid all this turbulence, there’s a powerful takeaway: diversified, disciplined investors were rewarded. Bonds and international stocks helped cushion the blow, and those who stayed the course saw the value of riding out the storm.

In our latest video, we break down:

  • What triggered the market’s rollercoaster in April

  • How the economy shrank slightly—yet why it’s not all bad news

  • What market volatility means for your long-term strategy

  • Why timing the market often leads to missed opportunities

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Progress on Trade Brings Relief—and Opportunity—for Long-Term Investors

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Navigating the Latest Economic Trends: What You Need to Know