Biggest Risks for 2022
Steven Van Metre Financial
English - December 31, 2021 23:00 - 19 minutes - 18.2 MB - ★★★★★ - 17 ratingsInvesting Business Homepage Download Apple Podcasts Google Podcasts Overcast Castro Pocket Casts RSS feed
The biggest risks in 2022 for stocks, bonds and the economy as we head into the new year. The biggest risk stocks are facing is record speculation amidst bullish sentiment. The biggest risk bonds are facing is a bull market. And the biggest risks to the economy for 2022 are an inventory surplus, lack of fiscal stimulus, and deflation. The biggest risk for 2022 is slower growth and inflation. #economy #stockmarket #business #news #breakingnews #stocks #bonds #money Portfolio Shield™ https://stevenvanmetre.com/portfolio-shield/ Website http://stevenvanmetre.com/ Social Media https://twitter.com/MetreSteven https://www.linkedin.com/in/steven-van-metre-b4a08b182/ https://www.facebook.com/svmfin/ Portfolio Shield™ and Momentum Timer Pro™ are unregistered trademarks of Steven Van Metre Financial. Watermark Artwork by Jasmine Miller Twitter: @jazcreative The content of this video is provided as educational information only and is not intended to provide investment or other advice. This material is not to be construed as a recommendation or solicitation to buy or sell any security, financial product, instrument, or to participate in any particular trading strategy. This video was prepared by Steven Van Metre in my own personal capacity. The opinions expressed in this video are my own and do not reflect the view of Atlas Financial Advisors, Inc. or Steven Van Metre Financial.