George Cipolloni, CFA: Investing When the Tide Goes Out episode artwork

EPISODE · Dec 14, 2022 · 23 MIN

George Cipolloni, CFA: Investing When the Tide Goes Out

from Enterprising Investor

A Three-Component Approach to Stock and Bond Picking. As central banks swung from QE to QT this year, the withdrawal of liquidity has been a major component in exacerbating stock market declines and bursting of bond market bubbles. Mike Wallberg, CFA, speaks with George Cipolloni, CFA, Portfolio Manager and co-leader of the balanced income strategy at Penn Mutual Asset Management, about the role liquidity has played in recent years to raise stock and bond market valuations. George also discusses his firm's three-lever methodology to identify fundamentally strong investments that will thrive as the liquidity tide goes out.

Episode metadata supplied by the publisher feed · Published Dec 14, 2022

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George Cipolloni, CFA: Investing When the Tide Goes Out

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