The Hidden Risks of U.S. Stocks and Why Global Diversification Still Matters (EP.190)


Episode Artwork
1.0x
0% played 00:00 00:00
Feb 05 2025 8 mins   34

Want to see what you may be overlooking in your finances? Discover your biggest opportunities in just 15 questions with my Financial Assessment.

-----

The U.S. stock market has been on an incredible run for over a decade, leaving many investors wondering: Why bother diversifying when the S&P 500 keeps winning?

But history tells us that no market outperforms forever. In this episode, Peter Lazaroff explores the hidden risks of relying too heavily on U.S. stocks and why global diversification still plays a crucial role in long-term investing success.

Listen now and learn:

► The historical cycles of U.S. stock dominance—and what happened when the tides turned

► Why valuation gaps between U.S. and international markets create new opportunities

► The psychological challenge of sticking to diversification when it feels like U.S. stocks can do no wrong

► How a globally diversified portfolio helps manage risk and minimize regret

🎧 Tune in now!

Visit www.TheLongTermInvestor.com for show notes, free resources, and a place to submit questions.