Interpreted Prediction
Predicted that the Capital Markets sector may experience a dip or pullback in the next five to six months from the video publication date.
AI Evaluation Notes
The prediction anticipated a potential dip or pullback in the Capital Markets sector between November 2024 and May 2025. While overall equity markets were described as 'mixed' in Q4 2024, and some private markets showed stronger returns, there's also an indication of a 'market recovery in May'. This suggests that prior to May 2025, there may have been a period consistent with a dip or pullback in certain areas of the capital markets, particularly as defensive sectors outperformed cyclical sectors and technology.