
176 episodes

Vaughan Nelson Investment Management Vaughan Nelson Investment Management
-
- Business
-
-
5.0 • 15 Ratings
-
Podcast by Vaughan Nelson Investment Management
-
Ep.177: (06.23.22) An Official Bear Market, Energy Pullback, and Staying Solvent
Chris Wallis, CEO and CIO at Vaughan Nelson, shares his thoughts as the S&P 500 officially entered bear market territory, energy and oil pulled back, and the Fed's responsibility.
-
Ep.176: (06.15.22) Market Reaction to Inflation, Fed's Pending Rate Hike, and Timing a Bottom
Chris Wallis, CEO and CIO at Vaughan Nelson, shares his view of the market's reaction to the inflation print, thoughts on the Fed's pending rate hike, and searching for a market bottom.
-
Ep.175: (06.09.22) Sovereign Debt Troubles, ECB Raising Rates, Energy Prices Soaring
Chris Wallis, CEO and CIO at Vaughan Nelson, walks through the potential global sovereign debt crisis, effect of the ECB raising rates in July, and the continued rise of energy.
-
Ep.174: (06.02.22) Why Raising Rates Doesn't Fight Inflation, QT Concerns, and Significance of 2H22
Chris Wallis, CEO and CIO at Vaughan Nelson, illustrates why raising rates does not combat inflation, concerns with QT, and what he's watching in 2H22.
-
Ep.173: (05.26.22) An Oversold Bounce, Catalysts for the Next Move, Fed Options
Chris Wallis, CEO and CIO at Vaughan Nelson, considers the sustainability of the market bounce, areas to watch in anticipation of the next move, and potential Fed options.
-
Ep.172: (05.19.22) Discounting the Slowdown, Peaking Yields, and What Will Be Recessed
Chris Wallis, CEO and CIO at Vaughan Nelson, discusses how far along the market is in discounting the economic slowdown, will peaking real yields support the equity market, and what areas of the market will be recessed.