Dave Martin talks about our investment strategy and market movement surrounding the election.
Author: David Martin
Our Chief Investment Officer, Dave Martin, talks about the current state of the markets, our 4th quarter outlook, and a brief overview of our investment philosophy.
Our portfolio manager, Dave Martin, explains why we're changing our market stance from bearish to neutral.
Our Portfolio Manager, Dave Martin, talks about recent stock trends and his outlook on the market.
Here, our Investment Policy Committee shares their thoughts on the Fed's upcoming rate decision and recent market volatility.
The market dropped through our lower risk thresholds, here is Dave Martin's update.
Last week we saw a rally in U.S. stocks and our indicators suggest that it could be fragile. Dave Martin shares his comments here.
This week we increased our broad market exposure across all active models. Here, our Chief Portfolio Manager Dave Martin shares his thoughts.
Our portfolio manager Dave Martin provides a recap of our movements in the market this week. We are watching our indicators very carefully and staying defensive.
Today the S&P 500 closed at a 2% loss. Between China, Greece, and the FOMC this has been an incredibly interesting year to be an investor. We want you to know how we are managing your money through this time and our portfolio manager, Dave Martin, shares his take on the market and your portfolios.