Investment & Economic Strategy Update — April 9, 2020

April 9, 2020

 

In this update video, Brian discusses the current state of the U.S. economy and what to expect with the stock market. The market has seen about a 60 to 70 percent rebound from the initial pullback. Volatility is normal and may not settle-down for several more weeks. The coronavirus pandemic is going to dramatically shift the landscape of the global market. The United States will come out stronger than before, especially as U.S. supply chains make a comeback and domestic travel becomes much more prevalent over foreign and international travel. China will see a much slower GDP growth moving forward and Europe and emerging markets will continue to be in bad shape and as always, not a good investment decision.

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