Curious about the latest market shifts and what they mean for your investments?
In this video Chief Investment Officer, Charles Rinehart, CFA, CAIA, discusses the market volatility in light of recent tariff changes. The S&P 500 fell 4.3% in Q1, while bonds rose nearly 3%. April brought sharp market swings as trade tensions with China escalated. The Fed held rates steady amid cooling inflation. We remain focused on disciplined, diversified investing through uncertainty.
For additional market insights, read our 1Q 2024 Market Update in our Quarterly Insights Newsletter.