Tag: Market Outlook

Market Outlook: Investing In 2023 with Christian Hyldahl, CFA® (Ep. 98)

Market Outlook: Investing In 2023 with Christian Hyldahl, CFA® (Ep. 98)

Many investors have cold feet and want to pull out of the market for 2023, but sometimes the best option is to take a deep breath, put your emotions aside, and wait a little longer.

In this episode, John and Michael Parise talk to Christian Hyldahl from Varium Investment Partners about investing in 2023. Christian shares his approach to investing, what he believes 2023 has to offer, and some advice for nervous investors who want to pull their money out of the market completely.

Christian discusses:

  • The 2023 market outlook
  • A comparison of active and passive portfolio management 
  • What’s a cover call strategy and its benefits if done properly
  • His advice for nervous investors and reasons to stay invested
  • And more!

Resources:

Connect with Christian Hyldahl:

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About Our Guest: 

Christian Hyldahl, CFA®, is the founder and president of Varium Investment Partners. He has 27 years of portfolio management, investment strategy, and research experience across multiple investment styles and products under his belt. Christian is consistently a top portfolio manager in multiple equity categories. Christian is a chartered financial analyst and obtained his master’s of business administration from the Fuqua School of Business, Duke University. Before that, he attended the London School of Economics for their specialized program in international economics and asset management and obtained his Bachelor of Arts in English and History from Bucknell University.

Distinguishing Between Market Noise and Market Impact with Paul Dietrich (Ep. 76)

Distinguishing Between Market Noise and Market Impact with Paul Dietrich (Ep. 76)

Have you been wondering what the rest of 2022 has in store for the stock market? Or how the pending Russian/Ukraine conflict, the Build Back Better Infrastructure Bill, or the ever-growing federal debt, might impact the market?

In the latest episode, John and Michael Parise welcome back guest Paul Dietrich to  discuss how you can separate noise in the market from events that may have tangible impact on the underlying economy. 

John, Michael, and Paul discuss:

  • Impact of Russia/Ukraine conflict on the stock market
  • The Build Back Better infrastructure bill
  • Tax raises and paying off the capital reserves 
  • Interest rates and inflation
  • And more

Connect with Paul Dietrich

Connect with John and Michael:

About Our Guest: 

Paul Dietrich currently serves as Chief Investment Strategist with B. Riley Wealth Management, Inc., where he focuses on managing investments for private investors, retirement funds and private institutions throughout the United States. He previously served as CEO and Chief Investment Officer with Fairfax Global Markets, LLC, and as CEO and Chief Investment Officer of Foxhall Capital Management. He also worked as an international corporate attorney with Squire, Sanders & Dempsey (now Squire Patton Boggs) and Jones Day. He is a frequent on-air commentator and regularly contributes his market analysis to business and financial media.