During this call, we address four questions regarding the recent volatility in financial markets:
- What’s being reported in the news?
- What’s NOT being reported in the news?
- What are we doing to address the volatility?
- What aren’t we doing?
The answers attempt to provide context to the volatility and create the foundation for why we remain bullish on the economy and stock market over the long run.
This newsletter/commentary should not be regarded as a complete analysis of the subjects discussed. All expressions of opinion reflect the judgment of the authors as of the date of publication and are subject to change. Content provided herein is for informational purposes only and should not be used or construed as investment advice or a recommendation regarding the purchase or sale of any security. There is no guarantee that the statements, opinions or forecasts provided herein will prove to be correct. Past performance may not be indicative of future results. Indices are not available for direct investment. Any investor who attempts to mimic the performance of an index would incur fees and expenses which would reduce returns. Securities investing involves risk, including the potential for loss of principal. There is no guarantee that any investment plan or strategy will be successful.