📉 Market turbulence. Inflation concerns. Tariff drama. A shifting global investing landscape. Last week, markets took a hit—US stocks fell for the fourth time in five weeks, Core PCE inflation came in hotter than expected, and consumer confidence slumped to multi-year lows. Meanwhile, international stocks continue to outpace US equities YTD, and some believe we’re entering a golden era for globally diversified multi-asset portfolios. With market volatility, inflation concerns, and global diversification trends in focus, where do you see the best investment opportunities for the rest of 2025? Drop your vote and share your perspective in the comments! 👇