In this episode, Keith Lockwood joins us to dive into some of the market volatility we have seen lately and what it could mean for your investments.
In this episode of Unlocking Your Financial Future, Ben is joined by Chief Investment Officer, Keith Lockwood. He’s here to help dive into some of the market volatility we have seen lately and what it could mean for your investments.
Tune in as Ben and Keith look at how geopolitical factors can impact the market, how recent recession talk could be a little overblown, and what investors should expect as we head into Q3 and the election season. Keith has some great insights on the underlying strength of the economy, the role of the Fed, and why this might be an opportune time for portfolio rebalancing. Don’t miss these valuable insights from today’s show!
Here’s some of what we discuss in this episode:
– What was really behind the bad day for the stock market in early August
– How geopolitical factors can impact the market
– Why some of the recession talk may be overblown
– The VIX hitting its third highest day ever
– How elections invite market volatility
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