Investors And Advisors Are Compelled To Consider The Hard Economic Realities Facing The Financial Markets
As investors and financial advisors approach the end of 2021 and consider their annual recalibration of portfolio mix for the coming year, they would be prudent to factor in some difficult economic realities that can no longer be ignored–that will alter stock and bond performance into and well past 2022. Q3 2021 hedge fund letters, conferences and more And those hard realities urgently argue for a different approach for attaining attractive returns while effectively managing the ever-present, but growing, risks in the financial markets. The U.S. Economy Is FragileMultiple data points show a cu...