INSIGHTS

2019 Themes and Outlook

As we navigate through 2019, factors that drove 2018 volatility–like trade, politics, and global growth– in capital markets are far from behind us. We see a better environment in 2019 than in 2018, but we do not expect it to be a smooth ride, and investors should expect a similar type of volatility in 2019. This year will be crucial for investors to make asset allocation shifts that will best serve their long-term investment goals. We will continue to balance underlying fundamentals with valuations to find attractive long-term opportunities.

2023 Q1 Market Commentary: Compounding Economic Risks

2023 Themes and Outlook

2022 Q4 White Paper: Bitcoin and Bubbles Part III

2022 Q3 Market Commentary: A No Good Very Dreary Year

2022 Q2 Market Commentary: Paying the Pandemic Price Tag

2022 Q2 White Paper: The ABCs of Easy Money

Special Volatility Report

2022 Q1 Market Commentary: This Time is Different

2022 Themes and Outlook: A Shifting Global Economy

2021 Q4 White Paper: ESG Investing

2021 Q3 Market Commentary

2021 Q3 White Paper: Stagflation