Amid a seasonally challenging period, markets have plenty to worry about – political wrangling in Washington, D.C. about spending plans, taxes and the debt ceiling, increased expectations for Fed tapering before year end, peak growth concerns and the Delta variant. Will these headwinds be a persistent source of volatility or will a resilient consumer and solid earnings growth help support equities into year end?
Please join Chief Investment Officer Leo Grohowski and a panel of experts as they discuss these developments, where they see opportunities and risks and how to position investment portfolios.