Stagflation & Misery

28 Mar 2022

The term ‘stagflation’ hasn’t been part of our everyday vocabulary for years, but I am seeing it more and more, and Google Trends confirmed my casual observation. Stagflation, a portmanteau of stagnation and inflation, is defined by Wikipedia as a period where ‘the inflation rate is high, economic growth rate slows, and unemployment is steadily high.’ The thrust of the articles that I am seeing argue that we’re already in… Read More

The High Cost of Hedging

14 Mar 2022

When markets are falling, clients often ask about whether certain ‘risk mitigation’ strategies make sense. Mitigation isn’t a word you use every day unless you’re a lawyer or in the insurance industry, but the meaning is simple: it is an action that reduces the severity, seriousness, or painfulness of something. Usually, when someone talks about it from an investment standpoint, they usually mean some kind of complicated hedging strategy. Over… Read More

Russian Exposure in Your Portfolio

07 Mar 2022

Our exposure to Russian stocks is very low, and we don’t have any exposure to Ukrainian stocks. To figure out our exposure, I looked at our holdings as of Friday and found that we have 2.6 percent of all of the money outside of the 401k plans that we manage in emerging markets stocks. Although we hold more than a dozen diversified emerging markets-based mutual funds and ETFs, 92.2 percent… Read More