The market has drifted lower in recent weeks as rising anxiety over a second Fed rate hike looms. I look at some of the top technical and fundamental reasons the market is behaving the way it is. Observations of risk and reward are noted throughout. Charts include: large cap stocks, treasury bonds, oil, energy sector, high yield bonds, REITs, and more. Recorded on May 19, 2016.
(Video length 00:10:46)
Disclosure: At the time this article was written, David Fabian and clients of FMD Capital Management owned shares of USMV.The views expressed by Aaron Jackson are ...
Disclosure: At the time this article was written, David Fabian and clients of FMD Capital Management owned shares of USMV.The views expressed by Aaron Jackson are those of the independent author and are not affiliated with FMD Capital Management.
FMD Capital Management, its executives, and/or its clients may hold positions in the ETFs, mutual funds or any investment asset mentioned in this post. The commentary does not constitute individualized investment advice. The opinions offered herein are not personalized recommendations to buy, sell or hold securities.