Financial markets continued falling in April as investors were hit with lackluster company earnings and a surprising negative first-quarter US GDP report. Company Earnings 1 Source: Nonfinancial Corporate Business; Earnings…
With the economy suffering from inflation and unanticipated war, March brought a bright spot by giving us improving labor market data and a bounce in financial markets. In our monthly…
Last week, markets temporarily bounced, defying many risks circling the economy and financial markets. Those risks included (1) Higher Inflation, (2) Higher Interest Rates, (3) Less Fiscal Support, (4) Slowing…
We saw a continuation of market uncertainty as the SP500 sold off -0.81% this week. We believe that this is caused primarily by (1) the slowdown in…
When working with clients who have changed jobs, they often ask what should I do with my employer retirement plan? The answer depends…
Financial markets were primarily calm despite rising Delta Variant concerns, Inflation data remaining…