“In 2021, the S&P 500® Index recorded one of its highest risk-adjusted returns in several decades. While risk is always present in the capital markets, in 2022 it may reshape itself in defense of elevated volatility, monetary tightening, and inflationary pressures that challenge the resiliency of consumer spending and corporate profit margins. ”

–Joe Terranova, Chief Market Strategist,
Virtus Investment Partners

This edition includes:

  • A capital markets performance recap of 2021
  • Key indicators and dates to watch in the coming year