Bi-Weekly Letter: A Perspective on the 2022 Financial Markets

February 25, 2022 |Warren Andrukow
Geopolitical tensions between the Ukraine and Russia have been bubbling to the surface for some time, but they took a meaningful turn over the past few days with Russia embarking on an invasion of its neighbour that is broader in scope than expected....
Read more

Escalating Tensions: How Markets Respond to Acts of War

February 24, 2022 |RBC Global Asset Management
Key take-aways Russia has further escalated tensions with Ukraine by entering two pro-Moscow areas of Ukraine controlled by separatists. Financial markets continue to express uncertainty around the impact of any further escalations. Historically, equity...
Read more

Bi-Weekly Letter: A Perspective on the 2022 Financial Markets

February 18, 2022 |Warren Andrukow
Not much has changed in recent weeks as many of the world’s financial markets continue to grapple with elevated inflation and a regime shift towards higher interest rates. Investors have also been on edge due to the Russia and Ukraine crisis, which seems...
Read more

Bi-Weekly Letter: A Perspective on the 2022 Financial Markets

February 04, 2022 |Warren Andrukow
The year is still young but is already shaping up to be quite the tug-of-war. More specifically, a standoff between two forces: pressure on asset valuations as investors anticipate higher interest rates versus the prospects of above average earnings growth...
Read more

Subscribe to Our Blog

Please let us know if you would like to be informed when new content is posted to our Blog.

*Required fields