April 24, 2024
Portfolio Manager Insights | How Oil Prices Impact Inflation, the Fed and Markets – 4.24.24

The stock market has become increasingly jittery with the S&P 500 experiencing its first 5% pullback of the year. The possibility the Fed could delay its first rate cut, declines in technology and artificial intelligence stocks, and tensions in the Middle East have all contributed to the market swoon. In uncertain market environments such as […]

April 17, 2024
Portfolio Manager Insights | How Investors Can Navigate Market Pullbacks, Geopolitical Risk, and More – 4.17.24

After a historically strong start to the year, markets have now pulled back 2.5% to begin the second quarter. Concerns around geopolitical tensions in the Middle East, inflation, corporate earnings, and other issues have led to a market decline, pushing the VIX index of stock market volatility to its highest level in six months. In […]