Bonds

Russia’s invasion of Ukraine has sparked even greater uncertainty amid markets jolted by the pandemic and expected interest rate hikes. Wealth managers now face fresh questions on how to navigate rapidly shifting equity and bond markets and the fallout on retirement portfolios.

Points we’ll discuss:

• The hit to the overall global and U.S. economies

• The effects seen in financial markets

• The impacts of financial sanctions

Articles You May Like

New ETFs that combine bitcoin exposure and options are coming in 2025
Westchester County, New York, wins S&P upgrade to AAA
Two more banks under Texas review quit climate group
Top Wall Street analysts pick these dividend stocks for 2025
US set for IPO comeback as private equity firms seek to offload holdings