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In this week's episode, Todd provides an update on the market, analyzes the key takeaways from the volatility index, and explains why we are closely monitoring the relative price performance of S&P 500 Growth versus S&P 500 Value companies.
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In this week's episode, Todd provides an update on the market, analyzes the impact of the unexpected Consumer Price Index (CPI) report, and discusses bond yields moving lower on the back of a cooling CPI.
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In this week's episode, Todd provides an update on the market, reviews the reported S&P earnings, and compares today's technology stocks to what occurred in the 1970s.
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In this week's episode, Todd provides an update on the market, compares the stock market to a similar pattern that occurred post World War II, and discusses the important outcome of declining negative-yielding bonds.
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In this week's episode, Todd provides an update on the market, reviews the current state of high yield bonds, and analyzes how the Chinese stock market could potentially impact us.
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In this week's episode, Todd provides an update on the market, analyzes the potential impact of the bond market, and reviews the rare performance of stocks and bonds so far in 2022.
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In this week's episode, Todd provides an update on the market, reviews the impact of quantitative tightening, and analyzes what history tells us about bear markets.
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In this week's episode, Todd provides an update on the market, discusses what tame credit markets may indicate, and analyzes the challenging position of European financials.
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In this week's episode, Todd provides an update on the market, analyzes how currency movements are creating volatility in other markets, and discusses the potential for equity markets nearing a bottom.
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In this week's episode, Todd provides an update on the market, analyzes the possibility that bonds may be approaching a transition phase, and encourages investors to keep a long-term view throughout the turbulent times in the market.
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