There have been many significant events in the economy and stock market over the past several years. We have had inflation. We have had bank failures. We have had a pandemic. We have even had a potential bubble developing in the AI space. Despite their differences, there is one thing that all of these events have in common – all of them have happened before. And studying that history can allow us to better understand them and what they mean for the market and the economy. This week we are joined by the perfect person to help us do that. We speak with Mark Higgins, author of “Investing in U.S. Financial History: Understanding the Past to Forecast the Future.” We discuss what all of us can learn from financial history and how we can apply that knowledge to become better investors.
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