The Change in Diversification & Incorporating Volatility Into Portfolios

Arnim Holzer points to a structural change in market volatility in the wake of "unorthodox" policies and elevated valuations impacting sensitivity of market moves. He adds that diversification strategies need to change, saying this environment will not act like historical correlations between bonds and stocks. Arnim later discusses the AI capex boom and how that will be felt in all corners of the economy.

Morning Movers

05 Feb 2026

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