In spring 2023, members of our team have hosted events throughout the Pacific and Inland Northwest. Following our “tour,” we created a video of our presentation for clients who missed an event or don’t reside in the Northwest.
Market Letter: Stalemate
Investment Strategy Video: Stalemate
George Hosfield, CFA, discusses the firm's quarterly strategy titled "Stalemate," which highlights the Fed's ongoing battle to tame inflation along with our views on the health of the banking industry and capital market expectations for the balance of the year.
2023 Investment Outlook Video
Annual presentation from Ferguson Wellman investment team discussing the major themes facing capital markets in 2023 and how they will affect client portfolios.
Fourth Quarter 2022 Investment Strategy Video: Bad News Is Good News
George Hosfield, CFA, shares our fourth quarter 2022 Investment Strategy video, in which he discusses the Fed raising interest rates in an effort to combat inflation and what that means for investors.
Fourth Quarter 2022 Market Letter: Bad News Is Good News
Read our Market Letter publication for the fourth quarter 2022 titled, Bad News Is Good News, in which George Hosfield, CFA, Peter Jones, CFA, and Joe Herrle, CFA, share our thoughts on inflation, interest rates, the energy sector and housing supply in the United States.
Bond Math
Principal and Head of Fixed Income, Brad Houle, CFA, discusses the math at work in fixed income investing and the relationship between bonds and interest rates.
Recording: Mid-Year Economic Outlook Webinar with Portland and Puget Sound Business Journals
Ferguson Wellman presents its mid-year investment outlook in partnership with the Portland and Puget Sound Business Journals. Originally aired July 13, 2022.
Third Quarter 2022 Market Letter: Balancing Act
Read our Market Letter publication for the third quarter 2022 titled, Balancing Act, in which George Hosfield, CFA, Dean Dordevic and Brad Houle, CFA, share our thoughts on inflation, interest rates, recession risk and how to position portfolios in this environment.
Third Quarter 2022 Investment Strategy Video: Balancing Act
Director and Chief Investment Officer George Hosfield, CFA, discusses the Fed raising interest rates, peaking inflation and our view on equities and volatility across all asset classes in our Investment Strategy titled, “Balancing Act.”
Capital Markets Update: Is This as Bad as It Gets?
Amid growing investor pessimism, for the first time in more than two decades, the Dow Jones Industrial Average has now declined for seven consecutive weeks. Similarly, the S&P 500 and the NASDAQ have dropped for six straight weeks … the first time since 2011 and 2012, respectively. Given the material correction we have witnessed across most asset classes, we think it timely to share our current market outlook.
Back in Black: the Resurgence of Oil
Shawn Narancich, CFA, shares our thoughts on the issues of oil supply and demand and our outlook for the energy sector.
Second Quarter 2022 Market Letter Publication: Kryptonite
The second quarter 2022 issue of Market Letter, our quarterly investment publication, titled, Kryptonite.
Second Quarter 2022 Investment Strategy Update: Kryptonite
Chief Investment Officer, George Hosfield, CFA, discusses our second quarter Investment Strategy titled, “Kryptonite.”
2022 Investment Outlook Video: Extraordinary to Ordinary
Outlook 2022: Extraordinary to Ordinary
Fourth Quarter 2021 Investment Strategy Video
Fourth Quarter 2021 Market Letter: Speed Bumps
Third Quarter 2021 Investment Strategy Webinar
On July 22, our firm hosted an Investment Strategy Update webinar presented by Charissa Anderson, CFP®, CDFA®, Ralph Cole, CFA, and Jason Norris, CFA.
A recording of the presentation can be viewed below and the slides can be found by clicking the button below.