"Stocks Soar Amid Risks: Key Factors to Watch"

TL;DR Summary
Economist David Rosenberg identifies three major risks to the U.S. stock market: Federal Reserve policy, a potential surprise recession, and lower-than-expected corporate earnings. Nvidia's significant role in driving market gains and the impact of high interest rates on investment choices are also highlighted. Despite these risks, experts advise long-term investors to remain committed to the market.
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