
Sign up to save your podcasts
Or


For today's show, we put in some overtime to get you our up-to-the-minute take on how the coronavirus outbreak is affecting financial markets.
The short version: Outside shocks to the financial markets, like the coronavirus, can't be predicted, but we do plan for them. Outbreaks like Ebola, Zika, MERS and SARS have rattled the markets before. And while past performance does not guarantee future returns, after downturns like the one we're experiencing right now, the markets are typically on the road to recovery within a short amount of time. We're also optimistic about what other key economic indicators are telling us about the overall strength of the US economy.
However, that doesn't mean we're Pollyanna or complacent. We continue to monitor the situation and are ready to take action if the situation warrants. Listen to this episode for our thoughts on the opportunity that volatility provides us to re-balance portfolios and other strategies to utilize when the market is low, what the government might do to help stabilize the markets, and the likelihood of a recession
By Bill Keen, Matt Wilson, Steve Sanduski4.6
6767 ratings
For today's show, we put in some overtime to get you our up-to-the-minute take on how the coronavirus outbreak is affecting financial markets.
The short version: Outside shocks to the financial markets, like the coronavirus, can't be predicted, but we do plan for them. Outbreaks like Ebola, Zika, MERS and SARS have rattled the markets before. And while past performance does not guarantee future returns, after downturns like the one we're experiencing right now, the markets are typically on the road to recovery within a short amount of time. We're also optimistic about what other key economic indicators are telling us about the overall strength of the US economy.
However, that doesn't mean we're Pollyanna or complacent. We continue to monitor the situation and are ready to take action if the situation warrants. Listen to this episode for our thoughts on the opportunity that volatility provides us to re-balance portfolios and other strategies to utilize when the market is low, what the government might do to help stabilize the markets, and the likelihood of a recession

444 Listeners

806 Listeners

778 Listeners

1,281 Listeners

447 Listeners

539 Listeners

751 Listeners

543 Listeners

676 Listeners

583 Listeners

823 Listeners

574 Listeners

995 Listeners

183 Listeners

151 Listeners