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Investment Strategies Amid Market Corrections

The bond market is approaching its lowest level since 2002, with yields not seen in over a decade. Nike's stock has hit a 12-year low, erasing over $200 billion in market cap, with no protection against further declines. The tech sector has risen 65% since the start of 2025, while the national debt nears $40 trillion. Sector-specific corrections are crucial for investors to understand.

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