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Index/Finance/The Polestar Podcast
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Q1 2025 Market Outlook with Keith Allan

The Polestar Podcast · 2025-04-25 · 26 min

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Topics in this episode

VancouverDiversificationinvestmenttarifffixedincome

Episode notes

Key highlights from this episode: Why Q1 2025 wasn’t as negative as it seemed - and what the TSX’s performance tells us How investor biases like recency and confirmation shape market sentiment The real impact of interest rates and what potential cuts could mean ahead Market volatility: separating tweet-driven noise from economic fundamentals Practical ways to stay resilient during uncertainty ...and more. About the Guest - Keith Allan Keith Allan is a Portfolio Manager with Harness Investment Management. Harness has engaged in a strategic partnership with VELA Wealth and provides discretionary portfolio management for many of VELA’s clients. With more than 15 years of buy-side investment management experience, Keith brings a wealth of knowledge and experience to provide insight and guidance to clients regarding their investment portfolios. At Harness, Keith is responsible for developing and maintaining investment portfolios for VELA clients. To learn more, please visit Harness Investment Management team page . About the Host - Kevin Parton Kevin Parton, CFP professional, specializes in personal and business financial planning, tax reduction, and estate planning.

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