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Why We Diversify Globally Even After a Strong US Year

Would you be surprised to learn that even with a 17% return in 2025, the US stock market ranked 37th globally?

This short video references a Dimensional chart using 2025 data to show why global diversification matters. The takeaway is simple. Strong returns in one market do not eliminate the value of diversification.


Watch the video below for a brief explanation.



Source: Dimensional Fund Advisors


Bar chart titled "Country Returns 2025 index returns" showing countries' performance. Colombia leads, Denmark trails. US section highlighted.

For educational purposes only. Not investment advice.

 
 
 

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