Market Commentary - July 2022
Our Investment Strategy Group's Quarterly Market Commentary for July 2022 shares their market review and outlook for the first half of 2022.
Read PostOur Investment Strategy Group's Quarterly Market Commentary for July 2022 shares their market review and outlook for the first half of 2022.
Read PostOver the past few months, interest rates have risen, and bond process have fallen. This is the reason why bond portfolios have experienced a decline in market value. This process will continue until interest rates stabilize.
Read PostThe 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.
Read PostAlthough geopolitical events such as armed conflicts and inflation are unsettling, history shows that selling investments in response to these occurrences is often a mistake.
Read PostWith increasing rates and longer bond durations, this may be the time to consider strategies that offer lower price sensitivity during periods of rising interest rates.
Read PostFounder, Chairman and Global Chief Investment Officer John P. Calamos, Sr. tells investors to stay invested, shares his 2022 outlook, and touches on giving to the community.
Read PostDespite 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.
Read PostIn Environmental, Social, Governance (ESG) investing, clean energy is a major focus. Where is this revolution headed, and what are important considerations for investors?
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