It goes without saying that 2022 was a very interesting year for financial markets and one that won’t be forgotten.

Both equities and bonds were down double digits in the same year for the first time ever. While equities experienced one of their worst years ever, the Bloomberg Aggregate index experienced its steepest drawdown ever. Investors faced a war in Ukraine, the Federal Reserve increased interest rates at the steepest pace in four decades, inflation spiked to 40-year highs and mortgage rates more then doubled.

In this episode Ryan looks at some of the noteworthy market dynamics that played out during the tumultuous 2022.

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