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Mark Luschini joins Nicole Petallides to discuss opportunities in a volatile market. He highlights the Mag 7 which he says is deep in a correction, "might be ripe for some opportunities." He talks about the contrarian perspective in the current market. He notes that that economy is still "on relatively firm footing."======== Schwab Network ========Empowering every investor and trader, every market day.Subscribe to the Market Minute newsletter - https://schwabnetwork.com/subscribeDownload the iOS app - https://apps.apple.com/us/app/schwab-network/id1460719185Download the Amazon Fire Tv App - https://www.amazon.com/TD-Ameritrade-Network/dp/B07KRD76C7Watch on Sling - https://watch.sling.com/1/asset/191928615bd8d47686f94682aefaa007/watchWatch on Vizio - https://www.vizio.com/en/watchfreeplus-exploreWatch on DistroTV - https://www.distro.tv/live/schwab-network/Follow us on X – https://twitter.com/schwabnetworkFollow us on Facebook – https://www.facebook.com/schwabnetworkFollow us on LinkedIn - https://www.linkedin.com/company/schwab-network/About Schwab Network - https://schwabnetwork.com/about
Mark Luschini, chief investment strategist for Janney Montgomery Scott, says that "the U.S. economy seems to be in pretty good shape," noting that there's a healthy amount of momentum — built on the strength of the labor market — that is creating solid underpinnings to will keep the economy and the stock market in a good place at least through 2025. Luschini thinks that earnings expectations — which he sees as a key for stocks continuing to post gains — are reasonable right now, though he does expect the market will be more volatile around news events, especially as it relates to earnings. Mark Hamrick, Washington bureau chief for Bankrate.com, looks at their latest "emergency savings report," which showed that just 41 percent of Americans would use their savings to pay for a major unexpected expense, like a $1,000 car repair or medical emergency treatment. In the Market Call, Ken Applegate, portfolio manager for the Wasatch International Growth and International Select funds, talks global small-cap investing.
Are we seeing a recession? What’s the state of the economy? How about the stock market and bond market? Should you invest in AI? Host Scott Phelan asks these questions to Janney’s investment spokesperson, Mark Luschini. No matter where you are in life - just starting out, in your peak earning years, nearing retirement, or […]
Are we seeing a recession? What’s the state of the economy? How about the stock market and bond market? Should you invest in AI? Host Scott Phelan asks these questions to Janney’s investment spokesperson, Mark Luschini. No matter where you are in life - just starting out, in your peak earning years, nearing retirement, or […] The post PHELAN & MYERS 2 FOR 20: The State of the Economy (and More!) with Janney Spokesperson Mark Luschini appeared first on Business RadioX ®.
Mark Luschini, chief investment strategist for Janney Montgomery Scott, says that the economic downturn everyone saw as happening this year wound up being postponed for solid economic reasons, but it hasn't been canceled and more likely just pushed back into 2024. Luschini says investors should be defensive, taking advantage of higher bond yields and not being sucked into low valuations on international investments, staying balanced but not too aggressive until the economy and market are on more solid ground. His forecast for a 2024 recession is in keeping with that of D.R. Barton Jr., chief investment strategist at Finiac, who says the market's technicals suggest that Santa Claus will be bringing a rally to town before the year ends, but that the New Year is likely to bring a recession that may be harder than most people expect after so much back and forth this year. Plus, in the Market Call, Eric Schoenstein of Jensen Investment Management talks about using quality as a factor in selecting growth stocks.
Mark Luschini, chief investment strategist for Janney Montgomery Scott, says the market's wild swings after its hot start are the kind of action investors will have to put up with until the market sees inflation start to give way and confidence grows that the Federal reserve has made real progress. That said, he expects a recession this year but notes that the economy is lacking the conditions that typically make a downturn deep and protracted so he believes it will be mild and brief before a recovery starts. Also on the show, John Cole Scott, president at Closed-End Fund Advisors, discusses private equity and debt in closed-end funds as a way of diversifying yield and risk in portfolios now, Kyle Guske of New Constructs puts another electric vehicle firm onto the list of 'zombie stocks' in The Danger Zone, and Bill Davis of Stance Capital and the Stance Equity ESG Large Cap Core ETF talks stocks in The Market Call.
No matter where you are in life - just starting out, in your peak earning years, nearing retirement, or contemplating your legacy - Phelan and Myers Wealth Management Group of Janney Montgomery Scott is here for you. When you work with them, it's about going beyond investing. It's about connecting your life and your finances. They take […] The post PHELAN & MYERS 2 FOR 20: What To Expect From The Markets and Economy in 2023 appeared first on Business RadioX ®.
Mark Luschini, chief investment strategist for Janney Montgomery Scott, says that the market is working its way through a correction -- troubles exacerbated by the war in Ukraine -- but that hasn't dampened the economic underpinnings or deflated the spending desires of consumers, which should help growth in corporate earnings pick up and push the market higher later this year, leading to 'pretty flattering returns for investors' this year. Likewise, Brian Dress of Left Brain Investment Research says that the 'green shoots' of recovery are starting to show, but warns that the recovery will not be V-shaped and fast, requiring the market to return to the normalcy of posting 'good reactions to good news' that has been missing early this year. In the Market Call, Malcolm Polley of Stewart Capital Advisors talks about picking stocks through the lens of 'business perspective investing.'
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: • Influence of foreign central bank policy on interest rates • Understanding the effect of changes in real yield on the incentive to invest in other assets • Factors affecting the recent volatility in the equity markets • Investor appetite for risk assets and long-term outlook for the stock market
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: • Reasons for rising interest rates to start the year • Inflation hedging strategies beyond Treasury inflation-protected securities (TIPS). • Review of underlying equity market fundamentals • Short- and long-term outlook for stock market
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: • Potential impact of budget deficits and Federal Reserve bond buying on interest rates • Short-term outlook for 10-year Treasury yields • Contributing factors to recent equity market volatility • End-of-year outlook for stocks and economy
Mark Luschini, President and Chief Investment Officer at Janney Capital Management, comes on CoveredCalls with Kevin Simpson. Jay Coulter and Kevin Simpson go deep with Mark to get his thoughts on fixed income investing, investing in commodities, REITs and equity dividend portfolios. Follow Janny & Mark Luschini:Mark's TwitterJanney's TwitterMark's LinkedInFollow Kevin Simpson & Capital Wealth:TwitterKevin Simpson LinkedInCWP LinkedInLearn more about Capital Wealth Planning by visiting: https://capitalwealthplanning.comDisclosures: https://capitalwealthplanning.com/social-media-disclosures/Episode 10
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: • Effect of supply and demand imbalance on inflation • Increased interest rate volatility following central banks' response to inflation • Impact of supply chain bottlenecks on the stock market • Outlook for consumer spending and positive economic activity • Opportunities in the fixed income and equity markets
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: • Federal Reserve policy and inflation concerns • Long-term interest rate expectations • Potential impact of a legislative standoff related to the debt ceiling • Economic conditions amid pending infrastructure bill and President Biden's Build Back Better plan
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Expectations for Federal Reserve policy Tapering of Federal Reserve bond purchasing and impact on interest rates Fiscal and monetary stimulus supporting economic growth State of stock market and what to expect moving forward
Mark Luschini, chief investment strategist for Janney Montgomery Scott, says that the stock market is likely to follow the growth of corporate profits, which bodes well for heady gains over the next year or two, despite inflation and other concerns that will increase volatility and potentially cause setbacks. Luschini says that since grizzly and protracted bear markets rarely occur outside of a recession -- and with recession seeming like a remote possibility in the next 12 to 24 months -- investors should be prepared to stay the course but ride out the bumps. Also on the show, John Smallwood of Smallwood Wealth Management talks about factoring inflationary pressure into long-term portfolio decisions, law professor Robin Feldman discusses how the U.S. patent system currently is incentivizing failure and causing higher prices in health care, and David Trainer of New Constructs talks about how operating earnings measures are actually distorting the financial picture of companies like Marathon Petroleum and eBay.
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Factors contributing to the rally in interest rates Long-term inflation outlook and yield expectations Corporate earnings and equity market returns Update on economic activity domestically and abroad
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Factors driving the recent rally in interest rates following the selloff earlier this year Update on economic activity and upcoming earnings announcements Recent activity in the equity market and what to expect moving forward Investor considerations related to the U.S. dollar and international markets
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Expectations for inflation in the months ahead Outlook for interest rates and Federal Reserve bond buying Acceleration of economic activity and relation to pro-growth cyclical sectors Update on equity market valuation and price-to-earnings ratios
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Outlook for short and long-term interest rates Measuring inflationary pressures and long-term expectations Cyclical sector advance in the equity markets Accelerating pace of economic activity Long-term outlook for the stock market
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: A review of Fed policy and the potential for a rising rate environment Outlook for corporate, municipal and treasury bonds Reasons for an optimistic outlook for the economy Overview of equity market activity and valuations
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Overview of yields, credit spreads, and recent activity in fixed income markets Market plumbing and the impact on interest rates The state of the economic recovery Corporate profits and sectors that stand to benefit from government stimulus and improving pandemic conditions
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: The impact of the housing sector on the economy What a booming housing market means for inflation and fixed income Update on recent economic news and activity
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Highlights from January’s Federal Reserve policy meeting Factors driving the equity market short term Longer-term outlook for the economy Overview of recent market news
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: State of non-U.S. fixed income markets Outlook for Chinese, European, and Japanese bonds Economic implications of Biden Administration policies Current expectations for the equity market over the short and long term
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income and equity markets. Topics covered include: Long-term interest rates Fiscal stimulus proposals Equity market fundamentals Accelerating economic activity and profit growth
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss latest developments in the fixed income and equity markets. Topics covered include: Impact of Georgia senate elections on the fixed income market Infrastructure spending package and interest rates Outlook for the equity market in the year ahead Fiscal stimulus and other factors driving equity markets
Mark Luschini, chief investment strategist at Janney Montgomery Scott, says market and economic conditions exiting the pandemic favor equity markets that are driven more by cyclical stocks -- which describes Europe, Japan and emerging markets -- which is why he thinks 2021 'may be the year for non-US equities to outperform domestic ...' Further, those same conditions have him favoring value stocks over growth, and he notes that the recent value rally should continue. Also on the show, Tom Lydon of ETFTrends.com makes a brand new fund run by a familiar name his ETF of the Week, and Todd Rosenbluth of CFRA Research talks mutual funds and ETFs in the Market Call.
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the fixed income and equity markets in 2020 and their expectations for the year ahead. Topics covered include: Recap of the interest rate market in 2020 and expectations moving into 2021 Areas of opportunity in fixed income in the year ahead Economic recovery into the new year and prospect for fiscal stimulus Sectors that stand to benefit from improving economic conditions
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss expectations for inflation, as well as the current economic landscape and the weakening U.S. dollar. Topics covered include: Monthly consumer price index data and inflation expectations Potential for rising inflation and impact on interest rates Overview of recent economic data and stimulus discussions The weakening dollar and the impact on inflation and the equity markets
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the path for interest rates moving forward, as well as recent equity market returns and what to expect over the final weeks of 2020 and beyond. Topics covered include: The path for higher interest rates moving forward The relationship between total return swaps, the dollar and interest rates Historical returns and the potential for a Santa Claus rally Outlook for the economy and stock market
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the impact of recent COVID-19 vaccine news on the fixed income and equity markets, as well as what to expect from macroeconomic conditions in the weeks ahead. Topics covered include: The effect of recent COVID-19 vaccine news on the bond market Changes in economic reopening prospects and influence on corporate bonds, particularly in the airline, travel and energy sectors Focus on cyclical sectors in the equity markets both domestically and abroad Forecast for macroeconomic conditions moving forward
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the fixed income and equity market landscape post-election. Topics covered include: Post-election environment for fixed income Supply and demand impact of treasury auctions Update on recent economic data Outlook for corporate profits and the equity market
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the election results, specifically how the outcome may influence the fixed income and equity markets. Topics covered include: Importance of private sector growth and capital flows on long term economic prospects Potential impact of economic stimulus and infrastructure spending on fixed income markets Outlook for equity markets before and after election results State of economic recovery and sectors to watch in the months ahead
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss GDP data and interest rates, as well as the recent volatility in the equity market and economic factors to watch in the coming weeks. Topics covered include: Relationship between GDP growth and intermediate- to long-term interest rates Current domestic and global backdrop for the equity markets and economy Expectations surrounding near-term volatility
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the high yield corporate bond market and factors influencing the economy, including coronavirus, stimulus discussions and election uncertainty. Topics covered include: What to know about the high yield corporate bond market Current risk and reward considerations of high yield bonds The state of the economic recovery Market reaction to stimulus discussions and election uncertainty
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the cause of recent bond buying from overseas as well as the potential impact recent stimulus discussions and new coronavirus cases could have on the economic recovery. Topics covered include: How foreign buyers view the U.S. bond markets Relationship between hedging costs and U.S. yields Recent equity market strength and stimulus discussions back on table New coronavirus cases and potential impact on economic recovery
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the latest developments in the fixed income markets, the start of third quarter earnings season, and the state of the economic recovery. Topics covered include: Regulatory restrictions on banks paying dividends and buying back shares What overcapitalization in the banking sector means for the stock market The economic recovery and stimulus updates Short- and long-term expectations for the S&P 500
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss why long-term interest rates posted their biggest one-day increase in a month, and economic indicators to watch in the coming weeks. Topics covered include: Three factors that led to an increase in long-term rates on September 30, the end of third quarter The influence election results tend to have on the bond market Sectors to watch if there is an increase in global and domestic economic activity The state of the economic recovery and short-term indicators to watch
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss factors driving the recent short-term equity market volatility, and economic areas to watch in the months ahead. Topics covered include: What’s keeping interest rates in such a narrow range Factors that may move the equity market as we move toward the election What recent economic data is telling us about the recovery The U.S. dollar and recent weakness in gold prices
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the Federal Reserve’s latest policy statement, as well as an update on economic data, fiscal stimulus and extension of unemployment benefits. Topics covered include: The Fed’s decision to keep short-term interest rates unchanged at near zero What to know about average inflation targeting Update on economic data, including recent retail sales number Expectations for fiscal stimulus and extension of unemployment benefits
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss utilizing bonds for portfolio diversification in the current environment, and the potential impact on the stock market if a deal is not reached for additional government stimulus. Topics covered include: Portfolio diversification and correlation between bond and stock prices Valuation expectations and return to normalization Potential market reaction if there is no additional government stimulus
In this audio update, Market Strategist Gregory Drahuschak speaks with Mark Luschini, Chief Investment Strategist, to discuss the Federal Reserve’s shift in monetary policy related to inflation targeting, as well as how it might impact the economy and markets moving forward. Topics covered include: Market buying power and technology sector Federal Reserve shift on inflation targeting Dovish shift in monetary policy Unemployment benefits and need for additional stimulus
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss what to know about the recently released Fed minutes as well as how fiscal and monetary stimulus can continue to stimulate a recovery. Topics covered include: Federal Reserve policy expectations for forward guidance and yield curve control Update on investor sentiment Expectations for future economic activity
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the relationship between real and nominal interest rates and the economy, as well as the latest developments in the equity markets, including the disparity in market sentiment. Topics covered include: Real versus nominal interest rates Mismatch between market sentiment and economic activity Equity market valuations and corporate profit growth Improving economic activity in the U.S. and abroad
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss long-term yields, the state of the economic recovery, and the upcoming employment report. Topics covered include: Analysis of long-term interest rates Impact of the Federal Reserve and inflation on yields Second quarter GDP and job growth Significance of the upcoming employment report
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the impact of inflation and deflation on bonds as well as the current equity market conditions with a focus on stock valuations and earnings growth. Topics covered include: Deflation and inflation in the current economic environment Potential for a bullish climate in the equity market The influence of the technology sector on the market performance
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss fiscal support by the European Central Bank, as well as the outlook for the economy and equity markets in the U.S. Topics covered include: European Central Bank programs to support the Eurozone Impact of monetary and fiscal stimulus domestically and abroad Current economic conditions
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the fixed income market, equity market developments, and economic trends for the months ahead. Topics covered include: The influence of the Federal Reserve in the bond market Stock market outlook in light of the increase in coronavirus cases The secular growth characteristics of the technology sector
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to recap the first half of the year, and provide their outlook and expectations for the remainder of 2020. Topics covered include: Review of the fixed income market this year The search for yield in credit markets Outlook for the economy and equity markets for the remainder of the year
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the correlation between investment grade bonds and equity markets, as well as the state of the economic recovery. Topics covered include: Relationship between equity markets and credit spreads, and what the correlation says about the markets State of the economic recovery Potential uptick in coronavirus cases in economically significant states and impact on the equity markets
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the corporate bond market as well as the current state of an economic recovery. Topics covered include: The Fed’s corporate bond purchase program Factors leading to disconnect between the stock market and economy Improvement of recent economic data, including manufacturing data Timing of an economic recovery
In this audio update, Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, discuss the latest Fed policy meeting, as well as the current state of the markets and economy, particularly indicators to watch. Topics covered include: Latest Fed statement and “lower for longer” mantra Impact of Fed expansionary policy on fixed income and equity markets Current economic environment as states begin to reopen Leading indicators for the market and economy
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the global fixed income market and outlook for interest rates, as well as factors signaling the potential for economic health and sustainable growth. Topics covered include: The global fixed income landscape, including an outlook for interest rates Global currency indicators of risk on versus risk off sentiment, including the Australian dollar and Japanese yen Potential opportunities in economically sensitive sectors due to changing market participant sentiment The outlook for sustainable growth as a byproduct of spending in the economy
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the fixed income market, expectations for economic data moving forward, as well as how cyclical sectors stand to benefit from improving conditions. Topics covered include: Update on the corporate bond market Recent run up in high-yield bonds and left tail risk How cyclical sectors, including financials and industrials, stand to benefit from economic growth conditions When we might begin to see improvements in economic data
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss recent events in the asset-backed securities space, as well as expectations for the market and economy moving forward. Topics covered include: Asset-backed securities compared to other more traditional options Expectations for economic data in the coming weeks and the economic recovery What improvements in cyclical industries, such as financials and industrials, could mean for a durable bottom in the equity markets
Dr. Patrice A. Harris, President of the American Medical Association, provides a coronavirus update and says she's "extremely worried" about a second wave of the virus. We get Businessweek Economics with Bloomberg News Global Economics and Policy Editor Kathleen Hays and Bloomberg Economics Chief U.S. Economist Carl Riccadonna. Bloomberg News Editor Dimitra Kessenides joins us for the Businessweek Small Business Survival Guide, along with Greg Shugar, Owner of Beau Ties. And we Drive to the Close with Mark Luschini, Chief Investment Strategist at Janney Montgomery Scott. Hosts: Carol Massar and Jason Kelly. Producer: Doni Holloway.
Dr. Patrice A. Harris, President of the American Medical Association, provides a coronavirus update and says she's "extremely worried" about a second wave of the virus. We get Businessweek Economics with Bloomberg News Global Economics and Policy Editor Kathleen Hays and Bloomberg Economics Chief U.S. Economist Carl Riccadonna. Bloomberg News Editor Dimitra Kessenides joins us for the Businessweek Small Business Survival Guide, along with Greg Shugar, Owner of Beau Ties. And we Drive to the Close with Mark Luschini, Chief Investment Strategist at Janney Montgomery Scott. Hosts: Carol Massar and Jason Kelly. Producer: Doni Holloway. Learn more about your ad-choices at https://www.iheartpodcastnetwork.com
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss comments from Federal Reserve’s Jerome Powell, as well as the impact of current unemployment on the markets and economy. Topics covered include: Why negative interest rates are unlikely in the U.S. Takeaways from Federal Reserve Chair Jerome Powell’s presentation and equity market reaction Impact of current unemployment on the markets and economy Application of Fibonacci’s Golden Ratio and retracement levels in the equity market
In this audio update, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss their outlook for interest rates, the economic impact as states begin to reopen, as well as opportunities in the current market environment. Topics covered include: Interest rate outlook and the new 20-year Treasury bond Near-term economic data expectations and impact on recovery shape Market outlook and volatility over the next 9-12 months Potential opportunities in risk and cyclical assets
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the Fed’s aggressive monetary actions and policy statements, as well as the latest market and economic news. Topics covered include: Federal Reserve policy and actions Expectations for fiscal policy from global governments Economic outlook and potential market headwinds
In this podcast, Market Strategist Gregory Drahuschak speaks with Mark Luschini, Chief Investment Strategist, and Guy LeBas, Chief Fixed Income Strategist, to discuss their recent articles looking at the what the economic recovery might look like and the coronavirus and the municipal bond market. Topics covered include: Update on the equity markets The historical shape of economic recoveries Three recovery scenarios: V-shaped, U-shaped, and L-shaped The COVID-19 crisis impact on municipal bonds and where to seek opportunity in the short term
In this podcast, Market Strategist Gregory Drahuschak speaks with Mark Luschini, Chief Investment Strategist, and Guy LeBas, Chief Fixed Income Strategist, to discuss their outlook for equity market using previous events as a prologue for the potential path ahead, and the Fed’s expanded programs to support corporate and municipal markets. Topics covered include: Market performance during equity bear markets Indicators that markets might still be amidst a bottoming process The Fed’s expanded programs and portfolio balance channel
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, for an update on fixed income, the recent rally in equity markets, and how the economic stimulus might impact conditions moving forward. Topics covered include: Fixed income market outlook The recent market rally and whether we have reached a durable market bottom to propel a recovery The $4 trillion stimulus as a tailwind to support activity over the next 12-18 months
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to review recent monetary and fiscal measures designed to stimulate the economy. The current state of the fixed income and equity markets are also discussed. Topics covered include: Impact of recent Federal Reserve programs on the fixed income market Factors that could indicate a market bottom Areas to watch in the coming weeks
In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the state of the market and the economic implications resulting from the coronavirus. Topics covered include: Signs of stability in the fixed income market Indicators for an equity market recovery The impact of monetary and fiscal stimulus
In this podcast, Market Strategist Gregory Drahschak is joined by Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss the state of the markets amid uncertainty and volatility resulting from the impact of coronavirus on the economy.
Mark Heppenstall, CIO of Penn Mutual Asset Management, discusses his current investment outlook and opportunities in the bond market. Tom Gearing, CEO of Cult Wines Asset Management, on how Trump's tariff threats to the EU are impacting the wine market. Justin Sink, Bloomberg White House correspondent, on how the White House silence on the Bezos hack shows the risks of close ties to the Saudi Prince. Mark Luschini, Chief Investment Strategist at Janney Montgomery Scott, to discuss the firm's 2020 Outlook. Hosted by Lisa Abramowicz and Paul Sweeney.