As volatility spikes amid geopolitical tensions, Kevin Nicholson expects U.S. equities will be range-bound with pressure to the downside in the near term. Between monetary policy and geopolitical uncertainty, Nicholson says markets are reaching a tipping point and adds that uncertainty may warrant short-term risk management measures by holding more cash in portfolios. Nicholson says his portfolio is tilted towards domestic equities while underweighting international equities.
09 Mar 2022
The Watch List
08 Mar 2022
The Watch List
01 Mar 2022
Trading 360
28 Mar 2022
The Watch List
10 May 2022
Trading 360
28 Feb 2022
The Watch List
19 Apr 2022