Recalibrating Markets: An Analysis of Correction Triggers and Implications

  • Author:
    Geoff Robinson
  • Level: 
    Intermediate to advanced
  • Study time:
    10 minutes
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Course overview
The August 2024 market correction sent shockwaves through global finance. But what really triggers a 10% market plunge, and what does it mean for investors?
"Recalibrating Markets" dissects the recent downturn, from disappointing economic data to tech sector stumbles. We'll explore how these corrections shape investment strategies and what they signal about economic health.

Join us for an incisive look at market dynamics that will equip you to navigate future financial turbulence. Don't just weather the storm – learn to harness it.

Available as part of our Premium and Premium Plus subscription tiers.

What's included?

  • 1 video
  • What is a market correction and why do markets correct?
  • Insights from a #1 ranked data-driven analyst

Who should watch this playlist? 

Investment professionals, financial advisors, and serious individual investors should watch this video. It offers a deep dive into the mechanics of market corrections, using the August 2024 downturn as a case study. The content is tailored for those who need to understand complex market dynamics, interpret economic signals, and make informed decisions in volatile conditions. While accessible to knowledgeable individual investors, the analysis is particularly valuable for those managing portfolios, advising clients, or developing investment strategies in a professional capacity. The insights provided will help viewers better anticipate, navigate, and potentially capitalize on future market corrections.

Why TheInvestmentAnalyst.com?

We are the only training house that is able to bring top-ranked analyst experience into your classroom. We buck the trend. Most training businesses recruit junior ex-bankers to become their trainer. Our instructors cut their teeth teaching and then gain senior experience with investment banks.

We believe, you could not be in better hands.

Geoff Robinson
FCA FMVA MFM

Thought leader, instructor, writer, financial influencer, Former UBS Managing Director and 8x #1 ranked analysts EMEA Institutional Investor Survey
ABOUT Geoff
Geoff has had a varied career. He was a Managing Director within UBS Equity Research, leading their Global Fundamental Analytics franchise. During this time, he was #1, ranked 9x in the EMEA Institutional Investor Survey. Before UBS, he was a material equity investor and LBO co-investor in two market exited training consultancies. Geoff has a passion for learning and is well-known for his ability to break down complex subject matter and distil it to an audience in a digestible and engaging manner. He brings this passion to TheInvestmentAnalyst.com. 
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