The biggest market risks are geopolitical tensions, unforeseen interest rate/inflation movements, Fed surprise policy change, says Brian Vendig, President at MJP Wealth Advisors. He discusses the biggest risks to the market for the rest of the year, specifically mentioning the Covid-19 delta variant. He also talks about the Fed’s tapering timeline and the 10-Year Treasury Index (TNX). Tune in to find out more.
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