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Is Europe finally dealing with its debt crisis?
jpmorganfund
303 views
Dr. David Kelly, Chief Market Strategist, J.P. Morgan Funds, believes that fully addressing the sovereign debt crisis may require Greece, Portugal, and other countries to r...
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Beyond U.S. and European policymakers, what are the biggest risks to the global economy and markets?
jpmorganfund
87 views
China's economic concerns, rising oil prices, as well as other geopolitical issues may warrant a balanced and diversified approach to investing. Dr. David Kelly, Chief Mark...
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Given recent FOMC forecasts for low rates through 2014, is Fed policy too easy?
jpmorganfund
55 views
Dr. David Kelly, Chief Market Strategist, J.P. Morgan Funds, suggests that the Fed's low rate policy appears to be removing Americans' incentive to spend money now—rather t...
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The U.S. economic recovery has been frustratingly slow. What is the outlook for growth this year?
jpmorganfund
117 views
Dr. David Kelly, Chief Market Strategist, J.P. Morgan Funds, says that current sources of strength in our economy may allow it to grow potentially faster than it did last y...
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How should investors make decisions during times of elevated uncertainty and apparent opportunity?
jpmorganfund
60 views
Dr. David Kelly, Chief Market Strategist, discusses why, in times of elevated uncertainty, investors should maintain perspective on the past, build a plan for the future, a...
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Is the federal budget in crisis and will we ever get our fiscal house in order?
jpmorganfund
69 views
Managing the U.S. fiscal situation may require lowering the deficit and allowing debt to fall as a share of GDP. Watch Chief Market Strategist Dr. David Kelly explain why.V...
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Are stocks and bonds close to fair value?
jpmorganfund
68 views
A strong devaluation trend appears to be occurring, which means it may be time for investors to consider overweighting stocks and underweighting fixed income, according to ...
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Managing inflation risk: The investment implications
jpmorganfund
228 views
Inflation-sensitive asset classes can help manage the impact of negative real returns, which can occur during bear markets and periods of low inflation.
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Managing volatility risk and pursuing income opportunities in a low-yield environment
jpmorganfund
1,635 views
As an industry leader, we are guided by a strong fiduciary responsibility and strive to put our clients' interests above our own--in every decision we make.
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Using an absolute return approach to manage risk and pursue current market opportunities
jpmorganfund
568 views
A combination of long-only and alternative strategies may help take advantage of both opportunities and inefficiencies in today's fixed income markets.
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