Markets and Economy
Weekly Market & Economic Update | 04.17.17
Geopolitical risks, such as U.S. strikes in Syria and Afghanistan or North Korean missile tests, have weighed on the U.S. equity market. Economic prospects, however, appear to remain solid.
Our current economic and market outlooks for the remainder of 2017. Our bias is to emphasize growth, with a focus towards undervalued asset classes that are demonstrating fundamental improvements.
Collar strategies and concentrated stock positions video
Bill Merz, alternatives investment strategist, shares strategies for dealing with concentrated stock positions. Watch video >
Farmers and ranch owners have additional considerations when planning for retirement.
Estate planning is important for anybody, but the value of having a comprehensive plan in place before a cognitive impairment occurs underscores the importance of starting the process early.
The role of risk management in goals based planning
A discussion about the role of risk management in financial planning, featuring Jason Stamm, Central Region President. Watch video>
Potential advantages of the changing rate environment
How are banking products impacted by the Fed Funds rate?
David Mook, Chief Private Banking Officer, U.S. Bank Wealth Management, shares his thoughts on the potential impact of a Fed Funds rate adjustment on your banking products. Watch video>
Cash tends to become a more visible component in a portfolio during times of elevated market volatility and economic uncertainty. But one possible downside is that yields on very liquid assets are generally low, which can potentially erode purchasing power if the yield earned is lower than the current inflation rate.
the interest rate environment.