September 24, 2021 – Ryan Puplava discusses the key drivers behind this week's market volatility with Evergrande, the Fed, and more. Ari Wald at Oppenheimer joins us to provide his technical outlook on the US stock market and says we could be in the midst of a mid-cycle correction. Then, noted Fed watcher and commentator Tim Duy explains the mostly likely timeline for Fed tapering, tightening, and how this may look in the context of higher debt levels. Lastly, Jim Puplava and Cris Sheridan continue with their discussion of the long-term drivers for higher inflation, higher taxation, and bad legislation.
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