Explicit
139 - The S&P Was Up In 2025… So Why Didn’t Most Investors Win?
Explicit
Roaming Returns by Tim & Carmela
Episode notes
2025 looked like a great year on paper — but most investors didn’t experience those returns.
In this episode, we break down what really happened beneath the indexes, why passive investing masked widespread underperformance, and how a dividend-first, total-return strategy quietly outperformed the market.
We walk through:
- Why the S&P 500’s gains were driven by ~7 stocks
- Which unexpected sectors crushed it (utilities, REITs, commodities)
- Why many “obvious” AI and tech plays underperformed
- The biggest winners, losers, and surprises across 46 real holdings
- How dividends changed the math in flat and down positions
- Why total return matters more than price return
- How we rebalance without chasing winners or panic selling
- What these results mean for positioning in 2026 ...
Keywords
Income InvestingDividend InvestingPassive IncomeFinancial IndependenceValue InvestingTotal ReturnInvesting PodcastPortfolio ReviewStock Market 2025Contrarian InvestingMarket VolatilityRebalancing Strategy