Global markets changed dramatically from Q4 2018 to Q1 2019, with ugly declines shapeshifting into exuberant gains across most sectors. The Central Banks became more passive regarding tightening policies, driving double-digit gains in most equity markets, energies, natural resources, and real estate. The bond market surged as well, posting annual returns in just three months.
Our Q1 market analysis webinar is now available for On-Demand viewing.
Watch the video now to learn...
- Why markets have surged higher to start the new year
- If further gains are likely during 2019, or if it now is a time for caution
- How the Telemus Capital team is adjusting to new information within the market
- What this all means for a diversified retirement portfolio
Meet the Presenter:
Matt comes to Telemus with 18 years of investment experience. Prior to joining Telemus, Matt was a Principal with LaSalle Street Capital Management, LLC, where he was involved in equity research and portfolio management for the firm’s large and small cap portfolios. Prior to that, he was a Senior Research Analyst with Russell Investments where he was responsible for manager research on Large Cap Market Oriented managers as well as served as the Chairman of the Direct Investing Research Team. Matt has been published in an Institutional Investor journal as well as quoted in Barron’s and Money Magazine.