Weekly Commentary | February 20, 2022
Macro Analysis
Another down week with markets losing roughly -1.8% and are re-approaching the lows set on January 24th. Russia and rate worries continue to dominate the news flow for markets. Defensives outperformed, not surprisingly, with consumer staples the best sector in the index, aided by strong earnings from Walmart and Proctor and Gamble.
The …
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