Janney's analysts discuss the global pandemic's impact on the economy.

In this podcast, Market Strategist Gregory Drahuschak speaks with Guy LeBas, Chief Fixed Income Strategist, and Mark Luschini, Chief Investment Strategist, to discuss utilizing bonds for portfolio diversification in the current environment, and the potential impact on the stock market if a deal is not reached for additional government stimulus.

Topics covered include:

  • Portfolio diversification and correlation between bond and stock prices
  • Valuation expectations and return to normalization
  • Potential market reaction if there is no additional government stimulus

Play podcast below:

About the authors

Mark Luschini

Chief Investment Strategist, President and Chief Investment Officer, Janney Capital Management

Read more from Mark Luschini

Guy LeBas

Director, Custom Fixed Income Solutions

Read more from Guy LeBas

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