Market Commentary - April 2022

April 21, 2022

The global equity and fixed income markets suffered negative returns as volatility surged and investors’ attention was drawn to Russia’s invasion of Ukraine, surging inflation and the Federal Reserve’s tighter monetary policy stance, among other items.

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Market Commentary - October 2021

October 15, 2021

Despite inflation and the portent of Fed tightening, our Investment Strategy Group has reasons to believe the US, led by consumers, will achieve significant economic growth.

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