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Fulton Bank
Fulton Bank

Q2 Economic Update July 20, 2022

2022 has been painful for investors in nearly every asset class. Please join us as we review the first half of the year, highlighting a few areas that did work in investors favor and the many that did not.

  • The first half of 2022 was one of the worst 6-month periods for stock and bond investors in history.
  • Rising interest rates led to a rapid repricing in assets and created a “bear market in everything”.
  • Market volatility is likely to remain elevated for the foreseeable future.

 

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Read our in-depth analysis of Q2 and assessment of US and International equity and fixed income markets.
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The Author

Matthew Brennan

Matthew is a portfolio manager and leads the investment strategy group for Fulton Private Bank and Fulton Financial Advisors. He was a National Merit Scholar at the University of Chicago, where he graduated with a B. A. in Political Science. He is a Chartered Financial Analyst (CFA®) charterholder and is a member of the CFA® Institute and the CFA® Society of Philadelphia.