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This episode breaks down a brutal market sell-off triggered by a surprise 100% tariff threat on Chinese imports, a deepening U.S. government shutdown, and fearful bond markets.

Hosts Autumn Bennett and George Mayfield explain why panic selling is the wrong move and outline tactical responses: buy the dip, dollar-cost average, and consider defensive sectors like rare earths, consumer staples, healthcare, and dividend aristocrats.

They also share a bonus options tip — using protective/covered-call strategies to limit downside while generating income — and show how disciplined investors can find opportunity amid chaos.