Markets rebounded in August 2024, nearing record highs as recession fears eased and the Fed signaled a potential rate cut. Explore key economic shifts, labor market trends, and sector performance in this monthly financial recap.
In this episode of “Investment Management Foundations,” Gary Quinzel, Vice President of Portfolio Consulting at Wealth Enhancement, discusses the significance of monetary policy, highlighting its impact on interest rates, economic stability, and investment market behavior.
Markets pulled back sharply after weak labor data, ending a strong 2024 run. Learn what’s driving the volatility, how global equities and bonds are reacting, and why diversification remains key.
June 2024 Market Recap: Strong tech and growth sector gains pushed U.S. equities near record highs, despite rising valuation concerns and concentrated market leadership. Explore key trends, AI’s impact, and what investors should watch heading into H2 2024.
Discover how the Consumer Confidence Survey impacts market sentiment and economic outlook in this episode of Investment Management Foundations with Gary Quinzel.
Markets pulled back in April 2024 amid sticky inflation and shifting rate expectations. Explore key economic data, sector performance, and what it means for investors.
February 2024 Market Recap: S&P 500 hits record highs as tech leads the rally. Explore insights on AI-driven growth, interest rate trends, and what it means for investors.
December 2023 Market Recap: Stocks and bonds surged as the Fed signaled potential rate cuts in 2024. Explore key economic shifts, inflation trends, and what they mean for your financial strategy heading into the new year.