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    1. Market Volatility

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    Navigating market volatility

    Timely insights to help you manage portfolios

    Access our latest commentary

    How do investors navigate market volatility?

    The war in Ukraine is causing surging commodity prices, COVID lockdowns in China are exacerbating strained supply chains, and 40-year-high inflation has prompted the Fed to aggressively tighten monetary policy. Together these dynamics are also creating uncertainty about future growth.

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    Tax planning? Or a plan for taxes?

    At the end of the day, active tax management is a way to take advantage of volatility. Volatility is a hallmark of the capital markets, but it also tends to derail investors and undermine their ability to reach their long-term retirement goals.

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    Is market timing worth it during periods of intense volatility?

    2022 will likely remain volatile for equity markets, as central banks normalize alongside persistently hot-inflation and geopolitical issues result in prolonged uncertainty.

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    Has the outlook for monetary and fiscal policy changed?

    While geopolitical tensions have reached a boiling point overseas, American investors have recently faced a set of potentially market-moving events at home: President Biden’s first State of the Union address and Federal Reserve Chair Powell’s testimony in front of Congress on monetary policy.

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    How should I think about geopolitics and volatility?

    Despite the horrible human and social impact, the conflict in Eastern Europe is currently noise for the market. Time will tell how things evolve, but the key risk is that higher commodity prices – and energy prices in particular – fail to be transitory.

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    Should I worry about Russia/Ukraine tensions impacting markets?

    Geopolitical tensions involving Russia and Ukraine have been a source of market volatility, especially since February 11th when President Biden warned there was a “very distinct possibility” of a coming Russian invasion of Ukraine.

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    What should investors do after China’s increase in regulations?

    Investing in China the right way is key: with a portfolio of companies, listed both offshore and onshore, with a manager that has a local presence and can do long-term fundamental analysis.

    Read more

    Eye on the Market

    Read the latest from Michael Cembalest, Chairman of Market and Investment Strategy, on the economy, markets and investment portfolios.

    Read more

    Events

    2Q 2022 Guide to the Markets

    Dr. David Kelly, Chief Global Strategist, and David Lebovitz, Global Market Strategist, discuss the current investment landscape using slides from the 2Q22 Guide to the Markets.

    Access the replay

    Ukraine and Investing: A Global Perspective – Special Broad Market Webcast

    Access the replay

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