In this week’s video update:
• How vulnerable are U.S. equities to market shocks?
• Is a French exit from the European Union (EU)—a Frexit—worth keeping an eye
• Why do we favor Eurozone equities over U.S. equities?
This review of our top five most read blog posts of 2016 covers a multi-asset approach to investing strategy during volatile times, understanding the potential impact of political events on markets and preparing for the DOL rule.
This is our last blog post for 2016. We’ll return with more in January 2017.