October 16, 2020 – Season 4, Episode 2
In this Special Episode, listen to our insights and thoughts on the election and the impacts it could have on the markets, economy and your investment strategy going into 2021!
Zero Interest Rate Environment: March Madness of a Different Sort
March 25, 2020 - Season 3, Episode 2
Advisory clients have portfolios designed to generate yield and weather storms like the one we are currently in. In this special report, Chris Abely will talk through the markets, risk, volatility and what’s driving the market.
COVID 19 & the Fear Cycle of Investing
March 16, 2020 - Season 3, Episode 1
Covid19, also known as coronavirus, is impacting the economy in ways we haven’t seen before. We are in uncharted territory; the markets are volatile and consumers across the globe are rushing to purchase food and staples to keep them going for 2 weeks if a quarantine occurs. In this special report, Chris Abely of CTMA Wealth Management will recap what has happened in the markets and what’s next for investors.
In our Annual Review we cover:
Where Are U.S. Interest Rates Going and Why?
September 10, 2019 - Season 1, Episode 2
In this episode, Chris Abely talks about the direction of U.S. Interest Rates and how to combat the effects of declining rates.
The US Debt Cycle & Its Impacts on Investors
August 26, 2019 - Season 1, Episode 1
In this segment we will take a closer look at where we are in the business cycle and the impact debt will be having on the economy. We will discuss the longest peace time market expansion cycle since 1852 and how student debt and the deficit needs to be viewed. We will also provide you on some thoughts on where to invest in this volatile market.
"Wisdom is not a product of schooling but of the lifetime attempt to acquire it." ~ Albert Einstein