Greek debt scenarios worth watching
In this week’s market update:
- As worries of a Greek exit from the eurozone increase, how likely is each of the various scenarios facing EU lawmakers?
- What’s an appropriate response for investors, given the Greece turmoil?
Does “dot connecting” change the consensus on what the U.S. Federal Reserve may do with interest rates? On this week’s Market Week in Review video, Chief Investment Strategist Erik Ristuben handicaps the three most likely Greek debt scenarios, providing viewers with his expert opinion on how investors may want to respond to the latest news from Europe.
Mark Soupiset hosts this week’s market update, which also looks at the scrutiny being placed on this week’s release of U.S. Federal Reserve meeting minutes and what the Fed’s “dot plot” chart may tell investors about when interest rates could rise.