Subject: Re: Fisher Investments 2025 forecast
What Fisher Investments is saying is that they see zero chance that the S&P 500 will end 2025 with a return less than 7%.

Nowhere does he say that. In fact, he says that he's describing points on a normal distribution curve, which means he assumes there is a non-zero probability of a lower return.
Also note the headline of the article - "I'm way beyond confused". He's telling you right there that he's at the very least very inconfident about what he's telling you.

Elan