The Fed and Politics: What Investors Should Know

Recent tensions between the White House and Federal Reserve have brought the topic of Fed independence into focus. This is because there can be a natural friction between elected officials and the Fed, since they each have unique goals and incentives. For instance, the President and Congress often prefer lower interest rates to spur economic […]
What the “One Big Beautiful Bill” Means for Investors

After months of negotiations, a new tax and spending bill was approved by Congress and signed into law by President Trump on July 4. This new budget is far-reaching, including making many parts of the Tax Cuts and Jobs Act permanent, raising state and local tax exemptions, extending the estate tax limits, and much more. […]
5 Key Investor Insights for the Second Half of 2025

On the surface, the first half of 2025 has been challenging for investors. From a trade war and market correction to an escalating Middle East conflict and concerns over the growing national debt, investors may feel as if financial markets are stumbling from one problem to the next. Daily news headlines often present an endless […]
Quarterly Market Update for Q2 2025: Tariffs, Geopolitics, and All-Time Highs

The second quarter of 2025 showcased both the resilience of financial markets and their sensitivity to policy uncertainty. From the White House’s tariff announcements in April to escalating tensions between Israel and Iran in June, investors faced many challenges. Yet, the stock market went on to stage one of the fastest rebounds in history and […]
New Market All-Time Highs: How Investors Can Stay Balanced

President Dwight Eisenhower is often quoted as saying “what is important is seldom urgent and what is urgent is seldom important.” This perfectly captures the challenges many investors face, since it often feels as if every breaking market and economic development is urgent and requires immediate action. That has certainly been the case this year […]
The Middle East Conflict: How Wars Impact Investors

The conflict between Israel and Iran has captured global attention and created uncertainty in financial markets. Israeli strikes on Iranian nuclear facilities and military targets began on June 13 and quickly led to retaliatory attacks. Then, on June 21, the U.S. launched strikes on Iran’s nuclear facilities. The situation is still evolving and can change […]
Monthly Market Update – May 2025: A Positive Month Despite U.S. Debt Downgrade

Financial markets rebounded in May with the S&P 500 recovering its year-to-date losses. This positive month occurred against a backdrop of new trade agreements, mixed economic signals, and ongoing concerns about U.S. fiscal health. While many reports continued to show that the economy is strong, consumers remained pessimistic about the future. Treasury yields fluctuated throughout […]
Chart Book-May 2025
What Bond Volatility and the Battle Over Fed Policy Mean for Investors

Recent weeks have seen heightened uncertainty ripple through both the stock and bond markets, with the latter experiencing especially sharp swings. These fluctuations have been fueled by the imposition of tariffs and a highly publicized conflict between the White House and the Federal Reserve over interest rate policy. As a result, both interest rates and […]
How to manage around market volatility

We have received many questions from clients regarding managing investment portfolios during market volatility. This is an especially timely topic given the market’s recent performance, with the S&P 500 down 13% so far this year. Understanding how to navigate market turbulence is crucial for long-term financial success, as volatility is an inevitable part of investing. […]