Investment Commentary – June 2022

June 29, 2022

The U.S. economy and stock market have both struggled in the first half of 2022. The highest inflation in more than four decades, aggressive tightening of monetary policy by the Federal Reserve, and the ongoing war in Ukraine have weighed heavily on the markets, with the S&P 500 falling into a bear market. For our insights into the Fed’s actions, the direction of the economy, and how investors may be impacted, read our latest investment commentary.

To read the full commentary, click here.