How smart investors are preparing for the next market pullback
 Youtubeยท2025-10-04 17:10
Group 1 - Consumer staples and utilities are considered stalwarts during market pullbacks, making them attractive sectors for investment [1] - It is suggested to allocate 25% or less of the portfolio to these sectors during a pullback, focusing on long-term stability and value [2] - There is a focus on hard assets, such as commodities, as a hedge against macroeconomic transitions, particularly the shift away from the dollar [3] Group 2 - The bullish outlook on AI technologies is emphasized, particularly on the "Magnificent Seven" and new monetizable AI technologies that have consumer impacts [3][4]
