With the U.S. election just months away, many are curious what the future holds for the economy and how new political leadership will impact their portfolios. Adding to the uncertainty is the fallout from Brexit and the looming changes that are sure to impact the European Union and beyond. In his mid-year economic forecast, FOX member and Atlantic ...
We have the answers
Search Results
Chief Investment Officer David Donabedian recaps the first half of 2016 and provides an outlook for economic activity and financial markets in the third quarter of the year. The issues that will have the most impact on the financial markets over the next 12 months are:U.S. economic growth mediocre, but outperforming most of the world;federal reserv...
Change is in the wind. After a challenging 2015, the investment landscape for 2016 will be defined by a new course for monetary policy and political leadership, a new primary catalyst for stocks and an altered roadmap for credit markets, and for energy. Looking ahead at these asset classes—U.S. equities, international equities, fixed income, ...
Atlantic Trust CIO David L. Donabedian, CFA, and Head of Fixed Income Gary E. Pzegeo, CFA, hosted a live webinar in which they analyzed fallout from the Brexit vote and assessed:The economic outlook in Europe and the U.S.The impact on equity and credit market fundamentalsWhat central banks will doWhether other nations will leave the EUThe Portfolio...