facebook twitter instagram linkedin google youtube vimeo tumblr yelp rss email podcast phone blog search brokercheck brokercheck Play Pause
%POST_TITLE% Thumbnail

When Oil Shocks Last, Long Bonds Feel It: The Case for Staying Shorter, Higher Quality, and Income-Focused

Based on insights from Jim Brilliant, CFA, Co-Chief Investment Officer, this report highlights a resilient U.S. economy, persistent inflation risks, and rising yields amid energy shocks, favoring short-duration, high-quality bonds for income as long-term rates remain vulnerable and Fed policy uncertain.

View Full Report