An unprecedented fiscal stimulus and the rollout of vaccinations has led to the resurgence of economic activity through COVID-19.
In this episode, David Vallieres and Eric Nahat discuss the anticipated trends in consumer spending, equity markets and fixed income assets. They also explore strategies to reduce your exposure to short-term market changes and help you lay out a comprehensive long-term plan.
You will learn:
- How changes in the 10-year treasury yield affect the equity markets
- What we mean by “duration” – and how it affects fixed income investments
- Expected economic growth in 2021 and beyond
- Tips to create a well-balanced portfolio while still taking advantage of short-term trends
- And more!
Tune in to get important updates on the current and anticipated market trends!