2023 Review and 2024 Outlook
In 2023, financial markets experienced volatility, influenced by factors like fluctuating interest rates and global economic uncertainties. Despite these challenges, certain sectors, notably technology and consumer stocks, showed significant resilience and growth. As we turn the page to a new year, what should investors expect in 2024? And will the themes that drove the market in 2023 continue to be the key drivers in 2024?
Listen to our On-Demand webinar as Phil Daniels and Cliff Aque recap the biggest market and economic factors of the past year and share their insights and perspectives on what may be in store for markets in 2024. Phil and Cliff will discuss:
- How the end of easy money has affected the economy
- “Back to Balanced” – how stocks and bonds performed and the path ahead
- The 2024 elections will make headlines until November
- Geopolitics and their implications