Audio Commentary: What we know: A look at events and factors impacting markets

February 25, 2022 |Janet Engels & Tylar Lunke

Janet and Tylar discuss recent market volatility, Russia’s role in commodity markets, and market reactions to past hostilities and acts of war.

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Risks become realities: Consequences of Russia’s strikes on Ukraine

February 25, 2022 |Kelly Bogdanova

The geopolitical threat has become reality, fueling market uncertainty. We look at potential impacts on equities and what investors should watch for.

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Why should bond investors look to the long term?

February 18, 2022 |Atul Bhatia, CFA

There is more than one path to investing; we explain why the long-term plan may be the best option regarding bonds.

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Spheres of influence: The bigger reason geopolitical risks are affecting markets

February 16, 2022 |Kelly Bogdanova

We discuss how the crux of the current tensions goes beyond Russia and Ukraine, and examine equity market vulnerabilities in past geopolitical hostilities.

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The future of proxy voting and oil

February 08, 2022 |Stephen Metcalf

Investors are likely to see many changes both in companies and the ESG investing world thanks to proxy voting.

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