Month: January 2015

Volatility But Higher

U.S. equity market volatility increased in 2014 driven by slowing economies in Europe and Asia and an increase in regional conflicts in Eastern Europe and the Middle East. The U.S. markets served as the safe haven for investors where areas such as large cap equities and long term U.S. Government bonds benefited the most from the 2014 flight to safety.

As we turn to 2015, Europe is on the edge of deflation (risking a lost decade or worse), Asia continues …