Managing Financial Markets During The Elections With Jeremy Bell (Ep.53)
As the U.S. elections approach, many investors find themselves questioning whether to adjust their portfolios in anticipation of potential market changes.
Nicole Romito is joined by Jeremy Bell, Chief Investment Officer for Conway Investment Research, to discuss the impact of US elections on financial markets and how to navigate the resulting volatility. With elections just weeks away, the conversation delves into whether you should adjust your portfolio in anticipation and explores if market performance favors one political party over another.
Jeremy discusses:
- The importance of maintaining a long-term strategic investment plan regardless of election outcomes
- Historical performance data showing the minimal impact of a political party on market returns
- The role of the Federal Reserve and its recent actions in maintaining economic stability
- Key economic indicators to watch and how they influence market predictions
- And more
Connect with Nicole Romito:
Connect with Jeremy Bell:
About Our Guest:
Jeremy is a Principal and Chief Investment Officer for Conway Investment Research, LLC. He joined the firm in 2011 and chairs Conway’s Investment Committee which establishes the firm investment philosophy and process and ultimately oversees the implementation of recommendations made to clients. In addition to leading Conway’s research effort, Jeremy’s primary responsibilities include capital markets research, asset allocation modeling, alternative investment manager due diligence, and management of key client relationships.
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