May Market Update – Is Unemployment, the Debt and Liquidity Impacting the Market?
May 18, 2020 - Season 3, Episode 3
Since our last Podcast “COVID-19 and the Fear Cycle of Investing” in March, the market continue to be extremely volatile. What is causing this volatility? Are the unemployment numbers fueling investors’ fears? Is the Debt weighing on the Market? And is the Market still overpriced? Chris Abely and I discuss these and several other topics this month.
Zero Interest Rate Environment: March Madness of a Different Sort
March 25, 2020 - Season 3, Episode 2
Advisory clients have portfolios designed to generate yield and weather storms like the one we are currently in. In this special report, Chris Abely will talk through the markets, risk, volatility and what’s driving the market.