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Market are Still Overvalued— (Especially Canada) | Latest Update

About this episode

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In this episode, I follow up on my previous valuations video from January, and I review how the TSX, Nasdaq, Dow Jones, and S&P 500 have corrected since their extreme overvaluations earlier this year, using standard deviation as a guide for current investor risks and opportunities.

Also in this episode:

📉 I dive into the S&P 500’s shift from extreme overvaluation to healthier (but still elevated) valuations.

📊 I review the Dow’s significant mean reversion and its new opportunities for dividend-focused investors.

🧠 I examine the Nasdaq’s partial correction and why selectivity in tech remains critical.

🇨🇦 I look at the TSX's resilience and why risks of mean reversion remain high in Canada’s market.

🧮 I summarize key lessons across all indices and what disciplined investors should focus on now.
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The views and opinions shared on this channel are for informational and educational purposes only. Although previously licensed, the contributors are no longer industry participants and are not licensed to provide financial advice. They strive to provide you with educational information in an entertaining manner. Always do your own research and due diligence before investing. Generally speaking, you should consult a licensed investment professional before investing.

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Market are Still Overvalued— (Especially Canada) | Latest Update

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