Morgan discusses the third quarter and the strategies being used in your portfolio.
Morgan discusses the third quarter and the strategies being used in your portfolio.
Jim and Jim discuss discuss credit spreads and how the price of a bond is affected by changing interest rates.
Jim K and Morgan discuss what is known and unknown in this bear market. They also highlight 3 purchases that were made this week.
Jim E and Morgan discuss the CPI report and reasons to be optimistic as a long-term investor.
Jim K discusses the positive week in the market and the remarks of Fed Chairman Jerome Powell.
Jim E and Morgan discuss how bonds have performed in the past week, and highlight a couple of bonds purchased this week.
In this week’s update, Jim discusses the market movement and rate expectations.
Jim and Morgan discuss the 200-Day Moving Average, and where much of the market volume is coming from.
Jim and Jim discuss the Fed, oil prices, support/resistance lines, and more.
Jim and Morgan discuss the yield curve, jobs report, and a recent purchase.