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Mid-Quarter Roundtable: Q4 - Impossible to Predict a Market Bottom
Recapping Mid-August to Mid-November, our Strong Valley advisor team talks about how this has been a rough year for just about everyone, with a recap of worst starts for bonds and stocks, along with a review of what happened with home and used car prices. The team discusses inflation and the Federal Reserve Rate – where it’s been and indications of where it might go. The top 3 questions from clients are answered regarding FTX, a possible 2023 Recession, and ideas on timing to buy when you have cash on hand. We wrap up with predictions on inflation and the rate hike in the coming year.
If you have questions for the Strong Valley team, check out strongvalley.com and use the Contact form to submit your questions.
You can stay up-to-date with the quarterly updates by following us at strongvalley.com/podcast, or by subscribing to the Strong Valley podcast on iTunes.
DISCLOSURES: Investment advisory services are offered through Laurel Wealth Advisors, Inc., an SEC registered investment adviser. Registration with the SEC does not imply a certain level of skill or training. Strong Valley is a dba used when offering securities and/or advisory services. Securities are offered through M.S. Howells & Co. a registered broker/dealer and Member FINRA/SIPC. M.S. Howells & Co. is not affiliated with Laurel Wealth Advisors, Inc or Strong Valley. None of the entities listed provide legal or tax advice. Please be sure to read all disclosures in the video description and on our website (www.strongvalley.com)
This material was created to provide accurate and reliable information on the subjects covered but should not be regarded as a complete analysis of these subjects. It is not intended to provide specific legal, tax, or other professional advice. The services of an appropriate professional should be sought regarding your individual situation.
International investing involves special risks such as currency fluctuation and political instability and may not be suitable for all investors. These risks are often heightened for investments in emerging markets.
This material contains an assessment of the market and economic environment at a specific point in time and is not intended to be a forecast of future events, or a guarantee of future results. All investments involve risk, including loss of principal. Forward-looking statements are subject to certain risks and uncertainties. Actual results, performance, or achievements may differ materially from those expressed or implied. Information is based on data gathered from what we believe are reliable sources.
The Standard & Poor's (S&P) 500 Index tracks the performance of 500 widely held, large-capitalization U.S. stocks.
The Bloomberg Barclays U.S. Aggregate Bond Index (AGG) is a broad-based fixed-income index used by bond traders and the managers of mutual funds and exchange-traded funds (ETFs) as a benchmark to measure their relative performance
The Gross Domestic Product (GDP) is a comprehensive measure of U.S. economic activity. GDP measures the value of the final goods and services produced in the United States (without double counting the intermediate goods and services used up to produce them). Changes in GDP are the most popular indicator of the nation's overall economic health.
The Consumer Price Indexes (CPI) program produces monthly data on changes in the prices paid by urban consumers for a representative basket of goods and services (Source: U.S. Department of Labor).
The NASDAQ Composite Index is a market capitalization price-only index that tracks the performance of domestic common stocks traded on the regular NASDAQ market as well as National Market System-traded foreign common stocks and American Depository Receipts.
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