2011 2nd Quarter Commentary

Overview The second quarter of 2011 had an all too familiar feel. After a strong start to the year, investors “sold in May and went away.” However, this time rather than an oil spill and the ensuing disaster, it was global supply chain issues caused by the Japanese tsunami, massive flooding in the US, a slowing growth rate in China and continued European debt concerns that caused investors to pull back. Added to that backdrop was heated debate and grandstanding by both political parties over the need to raise [...]

2011 2nd Quarter Commentary 2017-03-18T15:36:44+00:00