MarketScape: Navigating Rising Rates, War and Inflation
A flailing bond market amid ongoing geopolitical chaos has tightened investor focus on the potential impact to growth. Chief Investment Strategist Jim McDonald examines the current turbulent environment how we’re positioned in its wake.
- Yields Jump and Bonds Lose as Fed Tightens
- Supply Shocks Still Unfolding with War
- Europe, China Feel Economic Pain
- Favoring U.S. Equities, Natural Resources and High Yield Bonds