Asset Allocation Reports

Asset Allocation Weekly – An Update on Gold (December 3, 2021)

by the Asset Allocation Committee | PDF Gold moved steadily higher from the late summer of 2018 into August 2020.  Prices then declined toward 1,700 and have since traced out a trading range between 1,700 and 1,900.  In this report, we will update our views on the metal. (Source: Barchart.com) We have been holding gold… Read More »

Asset Allocation Weekly – The Composition of the FOMC (November 19, 2021)

by the Asset Allocation Committee | PDF (NB:  Due to the Thanksgiving holiday, the next report will be published on December 3.) The FOMC now has at least three vacant governor positions and two regional bank president positions.  There is one vacancy that remains from the Trump administration.  Richard Clarida’s vice-chair position expires in January. … Read More »

Asset Allocation Weekly – The Citigroup Economic Surprise Index and Bond Yields (November 12, 2021)

by the Asset Allocation Committee | PDF As market strategists, we’re always on the lookout for reliable indicators of future financial market performance wherever we can find them.  Some indicators are strongly correlated by themselves, with performance yardsticks like stock prices, dividend yields, or bond yields.  Other indicators are indexes composed of multiple data points,… Read More »

Asset Allocation Weekly – Is Monetary Policy Affected by Financial Markets? (November 5, 2021)

by the Asset Allocation Committee | PDF In the 1980s, economic graduate students were taught that the “wealth effect” was minor at best.  It is a behavioral theory that measures the impact of rising wealth on consumption.  In theory, when a household’s assets increase in excess of its liabilities, there should be a tendency for… Read More »

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