Senior Economist, Tim Quinlan will discuss historic and present economic conditions both globally and domestically. He will also discuss the current and expected rate environment as it relates to the Federal Reserve of both the U.S. and other markets.
Then, Investment Banker, Chris O'Green will discuss historic and present market conditions surrounding the debt markets and rate environment. He will also discuss equity markets and overall M&A activity in the last 12 – 24 months.
Learning Objectives:
Part 1:
- Understand the current & expected rate environment.
- Enhanced comprehension of global and domestic economic metrics.
- Learn about fiscal policy impact to U.S. economic indicators.
Part 2:
- Understand debt markets and their current condition.
- Understand equity markets, and the risks and benefits they pose in the current market condition.
- Gain insights on recent M&A activity and future expectations.