There are only four months left to go in 2016, but with markets hovering around record highs, uncertainty regarding the prospect of an interest rate hike by the Fed, the presidential election, the potential for as-yet unseen Brexit fallout on Europe and beyond, among a plethora of other concerns, the author of today’s article offers up several “portfolio management ideas for consideration for the balance of 2016.” For the author’s recommendations on managing everything from the U.S. bull market, European investments in light of Brexit, REITs as they become their own sector separate from financials, and much more, CLICK HERE.
Taking Stock Of The Rest Of 2016
- by Bob Mitchell
Tags:Balance of 2016Brexit FalloutEuropean InvestmentsFedFedsFinancialsInterest Rate HikeInvestingMarketsPortfolio ManagementPresidential ElectionRecord HighsREITsU.S. Bull MarketUncertainty