“From January 1, 2020 through December 31, 2022, the capital markets endured a global pandemic, war in Eastern Europe, 425 basis points of monetary tightening in six months, and 40-year highs for inflation. Remarkably, the S&P 500® Total Return Index gained 24.72% during this period.”
–Joe Terranova, Chief Market Strategist,
Virtus Investment Partners
This edition includes:
- A capital markets performance recap of 2022
- Key indicators and dates to watch in the coming year