Long-term, stocks will be fine, says William Huston. He discusses inflation, as it still remains elevated and the Fed is still likely to raise rates. He emphasizes not to panic and sell unless your position doesn’t fit your strategy. He talks about the Consumer price index and the best positioned sectors in the market, highlighting AdvisorShares Hotel ETF (BEDZ) and Marriott (MAR). He then goes over rebalancing a portfolio in a down market. Tune in to find out more.
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