Market Recap

Check out our monthly market recap for performance related metrics, including analysis’ on factors and sectors of the market

Atlanta Wealth Managment

Market Summary

  • Financial markets (DOW, NASDAQ, S&P500) all finished higher for the past month, even following last weeks volatility
  • Long-term indicators for an ongoing sector rotation from growth into value remain
    • Short term indicators favor growth as the disparity in performance continues to widen

Factor Analysis



Sector Analysis



Closing Thoughts


  • The chart below shows a 3-year performance of DVY (dividend/value) versus the S&P500 (growth)
  • Sector rotation from growth into value has slowed in recent weeks,
    • performance spread has begun to widen in the short-term
3-YEAR PERFORMANCE DIFFERENTIAL


  • Second chart shows a 3-year comparison of the performance spread between the 2-Y and the 10-Y yields;
  • Investor fears continue as the gap in the yield curve continues to widen
    • narrowing in the shorter term
PERFORMANCE SPREAD DIFFERENTIAL BETWEEN 2-Y BONDS AND 10-Y BONDS


Past Performance is no guarantee of future results

All performance related metrics were gathered from Fidelity Research

Market Recap

Check out our monthly market recap for performance related metrics, including analysis’ on factors and sectors of the market

Atlanta Wealth Managment

Market Summary

  • Financial markets (DOW, NASDAQ, S&P500) all finished higher for the past month
  • Long-term indicators for an ongoing sector rotation from growth into value remain
    • Short term indicators favor growth as the disparity in performance continues to widen

Factor Analysis



Sector Analysis



Closing Thoughts


  • The chart below shows a 3-year performance of DVY (dividend/value) versus the S&P500 (growth)
  • Sector rotation from growth into value has slowed in recent weeks,
    • performance spread has begun to widen in the short-term
3-YEAR PERFORMANCE DIFFERENTIAL


  • Second chart shows a 3-year comparison of the performance spread between the 2-Y and the 10-Y yields;
  • Investor fears continue as the gap in the yield curve continues to widen
    • narrowing in the shorter term
PERFORMANCE SPREAD DIFFERENTIAL BETWEEN 2-Y BONDS AND 10-Y BONDS


Past Performance is no guarantee of future results

All performance related metrics were gathered from Fidelity Research

Market Recap

Check out our monthly market recap for performance related metrics, including analysis’ on factors and sectors of the market

Atlanta Wealth Managment

Market Summary

  • Financial markets (DOW, NASDAQ, S&P500) finished down on the month
  • Long-term indicators for an ongoing sector rotation from growth into value remain, but short term indicators favor growth

Factor Analysis



Sector Analysis



Closing Thoughts


  • The chart below shows a 3-year performance of DVY (dividend/value) versus the S&P500 (growth)
  • Sector rotation from growth into value has slowed in recent weeks,
    • performance spread has begun to widen in the short-term
3-YEAR PERFORMANCE DIFFERENTIAL


  • Second chart shows a 3-year comparison of the performance spread between the 2-Y and the 10-Y yields;
  • Investor fears continue as the gap in the yield curve continues to widen
    • narrowing in the shorter term
PERFORMANCE SPREAD DIFFERENTIAL BETWEEN 2-Y BONDS AND 10-Y BONDS


Past Performance is no guarantee of future results

All performance related metrics were gathered from Fidelity Research