Global Portfolio Strategy | February 3, 2022

Key changes from January’s report: § Upgrading emerging market equities to neutral from negative Stocks fell in January, as the S&P 500 Index lost 5.3% for the month. The Federal Reserve’s dramatic hawkish pivot garnered most of the blame for the weak start of the...

Client Letter | Stocks’ Road Ahead | February 3, 2022

Dear Valued Investor: The calendar had barely flipped to 2022 and investors were reminded that even attractive long-term stock returns come with a cost: volatility. The S&P 500 Index fell nearly 10% from January 3 through January 27 amid fears that the Federal...

Client Letter | Moving Forward After a Pullback | January 24, 2022

Dear Valued Investor Stocks have gotten off to a tough start in 2022. Why has the market pulled back and what might we see going forward? We think the most important thing to remember is that periodic stock market volatility is entirely normal. Historically, the...