Retirement Talk Radio's Podcast

94. Volatility in 2022 Market Update

Informações:

Sinopsis

Special Guest, CFA, Portfolio Manager David Wagner of Aptus Advisors, joins us on today’s episode to discuss the various factors contributing to market volatility in 2022. As a portfolio manager David is constantly studying the market, understanding the impact it has on investors. Should we expect a recession? What will bring down inflation? David will share his expertise on these topics and more during our show.  The market has been in a tailspin and a lot of factors are playing into this. From a geopolitical standpoint, there’s a lot of uncertainty so we are seeing some bearish trajectories. But this may be a buying opportunity according to David.  The Russian invasion of Ukraine could really impact Americans’ wallets when it comes to energy and consumer spending, but only time will tell. We are still expecting rate hikes despite this conflict and David assumes this won’t change. The Fed tends to avoid uncertainty when possible. On the other hand, David sees inflation as mostly a supply problem and somethin