Market Commentary January 2013

Financial markets did very well in 2012, with stocks returning 16%-18%, which is significantly above long-term averages. During the fourth quarter markets seemed to cling to an assumption that the fiscal cliff would be averted, or at least end in something less than a catastrophe. Domestic stocks ended the quarter very close to where they […]
Market Commentary October 2012

The equity markets finished a very strong quarter in September, erasing the losses of the second quarter, and more, pushing returns solidly into double-digit territory for the year. If the S&P 500 could hold its 16% gain through the next quarter, it would be the third best annual result of the past decade, and above […]
Four Ways the Financial Media Causes Investors Harm

ONE: Focus on the near term. A recent headline reads, Anxious financial advisers scale back summer vacations. “Still haunted by the 2008 financial crisis, many financial advisers are scaling back their summer vacations or giving up on them entirely. Many are afraid to be out of the office in case this is the third straight […]
Market Commentary July 2012

Equity markets had a rough second quarter. For the period ending June 30, 2012 the S&P 500 index (large stocks) was down 2.8%, the Russell 2000 index (small stocks) was down 3.5%, and the MSCI EAFE index (international stocks) was down 6.9%. The international index might have seen a double-digit decline were it not for […]
Market Commentary April 2012

Equity markets got off to an outstanding start in 2012. Returns for the first three months represented the best yearly start since 1998, as the S&P 500 was up 12.6%. As you can see in the chart, equity markets were generally up 11%-13% with emerging markets up 14%. The broad bond market essentially broke even […]
Lessons From 2011

ONE– Stock market returns are seldom what we expect. The S&P 500 index was up 2% for the year, after being up 8% at the end of April and down 12% at the beginning of October. Large stocks did better (Dow up 7%); small stocks did worse (Russell 2000 down 4%); and international stocks did […]
Schwab Index Fund Changes

Many of our clients will be receiving a notice from Charles Schwab regarding a recent change in investment policy for two funds that we use in portfolios. The Schwab Small Cap Index Fund (SWSSX) and the Schwab International Index Fund (SWISX) are affected. Here is the communication from Schwab to advisors: We want to make […]
Five Reasons You Should Not Panic in the Face of Market Volatility

1. It is not really “different this time.” Vanguard, in a recent study entitled “Stock Market Volatility: Extraordinary or ‘Ordinary’?”, concludes that recent volatility appears extraordinary compared to the relative calm of the markets in 2010, but is in fact “ordinary” when compared to similar periods characterized by major global macro events – they cite […]
Market Analysis

Renewed fears of a double-dip recession, policy paralysis across the U.S. and Europe, and the looming threat of a financial crisis in the euro zone combined to create very volatile markets and a devastating quarter for equities. Equity Markets The third quarter of 2011 saw the value of small stocks and international stocks fall more […]
Evaluating Your Social Security Options

As retirement age approaches many questions arise about Social Security including the following: Should I start drawing benefits as soon as possible or postpone? If I do postpone, how long should I wait? If I am married or divorced, how can that impact my decision? When will I “breakeven” on my decision to postpone? Rules […]