Hunter Frey, Analyst

Hunter Frey is an Analyst at Catalyst Capital Advisors, LLC and Rational Advisors Inc. covering all in-house equity strategies and an insider buying income-oriented strategy at Catalyst Funds. Mr. Frey received a Bachelor of Science degree in International Business with a focus in Spanish from Gardner-Webb University, Godbold School of Business, and is in pursuit of a Master of Business Administration in Economics and Finance from New York University, Stern School of Business.

Chart of the Week: Fixed Income Annualized Returns Over the Past 18 Years

Fixed Income Annualized Returns Over the Past 18 Years

Chart of the Week: Fixed Income Annualized Returns Over the Past 18 Years

Fixed Income Annualized Returns Over the Past 18 Years

The Infrastructure Deal’s Impact on the Markets

The re-establishment of coronavirus restrictions will likely not be as extreme of an impact on society and business operations as the “growing pains” and social and business adjustments weathered after March of 2020 contain any large economic event.

Chart of the Week: Short-Term Bonds Tend to Perform Well During Inflationary Increases

Short-Term Bonds Tend to Perform Well During Inflationary Increases

Chart of the Week: Short-Term Bonds Tend to Perform Well During Inflationary Increases

Short-Term Bonds Tend to Perform Well During Inflationary Increases

“Don’t Fight the Fed,” Walk the Other Way

On Monday, July 19, 2021, the Dow’s worst day of 2021 unfolded. Virus-sensitive assets (energy and travel sectors) sold off as less optimistic growth outlooks emerged from concerns of the increasing delta variant cases. Delta variant concerns coupled with skepticism of transitory inflation, decreasing bond yields, and incomplete economic recovery create a perplexing cocktail of potential economic outcomes.

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Income Shines: November 2024 HANDLS Monthly Report

November proved to be a strong month for income-focused investments, with all sectors delivering positive returns despite market volatility.

Building a Winning Portfolio for Trump’s Second Term

Building a portfolio for a second Trump term means focusing on companies positioned to benefit from shifting regulatory priorities and trade dynamics.

David Miller on CNBC’s Market Navigator: Will Overheating Hurt Nvidia?

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In October, Goldman Sachs strategists cautioned investors to be prepared for stock market returns during the next decade that are toward the lower end of their typical performance distribution.

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