Powell Pivot: What Could Go Wrong or Right?

14 January 2024 On December 13, just weeks after warning it was premature to think the Federal Reserve would begin lowering interest rates, the US central bank gave the green light to at least three cuts in 2024. To be sure, consistent communication has never been a strong point of Chairman Jerome Powell's premiership. Nonetheless, [...]

Strategy 2024: Searching for a Soft Landing

13 December 2023 Happy Holidays! Another challenging year is coming to a close. Yes, the US (and global) economy defied expectations of recession. True, the S&P 500 has recorded a 20% gain. However, the rally was narrow: only technology outperformed the market. Indeed, of the 8 market sub-sectors, only tech, industrials, and financials posted positive [...]

Strategy 2022: Avoiding Stagflation?

1 December 2021 As investors establish their 2022 market strategy, I summarise my answers to many key questions: Will the current rise in inflation be temporary or are rapidly rising prices here to stay? In the USA, for example, I expect price growth to peak in the first quarter of 2022, and "core" inflation to [...]

Mid-2021 Review: Inflation, Scarring & Tapering

6 June 2021 Typically, investors must juggle numerous factors while making their global asset allocation decisions. In this regard, the next 12-18 months may be more straightforward. By now, no one doubts massive monetary and fiscal stimulus will produce a sharp, V-shaped 6% global recovery in 2021, with China and the USA leading the way [...]