Gold, Credit Cracks and Inflation Making a Comeback?
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About this listen
In this month’s Market Insights Broadcast, Aaron Tuttle, CFA®, CFP®, CLU®, ChFC®, Chief Executive Officer, and Chris Arends, CFA®, CMT®, CAIA®, Chief Investment Officer, examine the market forces shaping October — from government shutdown headlines and credit-market worries to gold’s surge and renewed inflation risks.
Key Topics Include:
- How markets handle shutdowns and short-term noise
- Why rising defaults don’t necessarily mean crisis
- What’s driving gold’s rally
- The Fed’s next move on rates and inflation
- Tariffs, geopolitics, and the investor playbook
Whether you’re managing risk or positioning for opportunity, this discussion helps you see through the noise and focus on what matters most for your portfolio.
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