Gain perspective about the confluence of events affecting the markets, including the coronavirus. What are the drivers of current volatility? Where do markets and diversified portfolios stand now? How does this market compare to the many volatile markets in the past? See how bad markets have strong recoveries. See why panic is not an investment strategy. See how an even bigger drop would still leave investors with solid medium-term average returns. What does a typical and actual past virus curve look like and why investors can’t see around the corner… until they are at the corner. How the brain works with physical fear vs. financial fear, and how to re-train your brain. Steps the Fed/Government have take so far to stabilize the economy. What are the recovery scenarios… will it be pot-shaped? Plus the good news that will eventually be on the horizon.