
In this episode of Break Up Money Guys, we dive into the market volatility sparked by new tariffs and the so-called trade war as of April 8, 2025. From the S&P 500’s resilience to the potential revival of U.S. manufacturing, we talk about what’s driving the chaos and why long-term investors shouldn’t panic. Plus, we explore falling oil prices, consumer impacts, and how to stay grounded despite being bombarded by constant high-stress news.
Link to the companies discussed in the episode: Portfolio