May 31, 2022
On today’s Episode, Phil discusses if the recent market movement is a Bull trap or a legit Turnaround. Equity markets closed before the holiday weekend with one of their best weeks since November of 2020. The question now begs, is this a classic bull trap as equities have been pummeled with almost half the year behind...
May 23, 2022
Finally, some positive momentum in markets on this last Monday in May! Hopefully, that can continue, although the occasional rallies that have popped up this year were all eventually overwhelmed by the broader downtrend across financial markets. This past Friday (5/20), the S&P 500 fluctuated on the fringe of bear...
May 16, 2022
Despite significant market declines eroding portfolio values seemingly regardless of allocation (stocks, bonds, and even crypto are all simultaneously at or near bear market territory), this week, Phil attempts to calm investors – particularly those heading for the exit. The last decade or more has been one heck of a...
May 10, 2022
Once again, Phil runs down another week of poor performance across markets. Stocks were walloped, but bond yields creeped down a bit with the 10-year approaching 3%, and signs of a potential stabilization in municipal markets look good. Unfortunately, it’s been rough going, we’re in a classic market correction… it...
May 9, 2022
In this Special Edition Podcast, Phil digs into the recent Fed policy statement, analyzing the mixed market response to Chairman Powell’s comment taking 75 bps hikes off the table. After noting major stock indices once again entered correction territory while the Vix approached bear market levels, Phil points out...