Reinvestment Risk and The Case for Duration Over Treasury Bills
Head of Fixed Income, Peter Higgins, answers the question: If I can get my clients 5% in T-Bills, why would I consider longer dated treasury or corporate bonds?
Head of Fixed Income, Peter Higgins, answers the question: If I can get my clients 5% in T-Bills, why would I consider longer dated treasury or corporate bonds?
In this week’s CIO Minute, Derek Izuel touches on Tuesday’s inflation data, the June Fed meeting, and how markets are responding to the busy calendar.
2022 was bad for tech companies. But, by a similar measure, 2019, 2020, and 2021 were great for technology, with gains of 37%, 47%, and 26%, respectively.
Portfolio Manager Barry Martin, CFA joined Mark Longo on The Options Insider Podcast to discuss AI and generating income by writing covered calls.
June 1, 2023- Read the Fixed Income Team's weekly commentary as they touch on economics, corporate bonds, and municipal bonds.
In this week’s Shelton CIO Minute, Derek Izuel discusses the recent impact AI has had on the market and how it will likely continue to grow in demand.
Peter Higgins, Head of Fixed Income and Sr. Portfolio Manager, joined David Armstrong on WealthManagement.com to discuss the effects of an uncertain market.
May 25, 2023- Read the Fixed Income Team's weekly commentary as they touch on economics, corporate bonds, and municipal bonds.
Portfolio Manager Barry Martin recently joined Chuck Jaffe on his Money Life podcast to discuss writing covered calls in the current range bound market.
Managing the new game requires a more tactical approach. Portfolio Manager Jeffrey Rosenkranz was recently published on WealthManagement.com