Markets, Volatility, and the Value of Diversification - Q2 2026 Market Commentary episode artwork

EPISODE · Jul 17, 2026 · 19 MIN

Markets, Volatility, and the Value of Diversification - Q2 2026 Market Commentary

from The Wealth Exchange

Markets proved more resilient this quarter, despite ongoing inflation concerns,  geopolitical tensions, and elevated interest rates. In this episode of The Wealth Exchange, Ben Jang, Portfolio Manager | Head of Fixed Income joins Jasmine Marichic, Wealth Advisor | Client Relationship Manager, to explore what drove the market rebound, where risks remain, and why diversification continues to matter in an environment where traditional portfolio relationships are changing. From AI-driven market leadership and reopened IPO markets to Canadian opportunities, fixed income, and portfolio construction, Ben shares practical insights for long-term investors navigating uncertainty. You'll hear: Why markets remained resilient despite ongoing economic and geopolitical headwinds How equities, fixed income, and real assets performed through the second quarter What higher interest rates mean for diversification and income How to think about geopolitical risk without reacting to every headline Why maintaining a balanced, diversified portfolio remains critical in today's market  As the year unfolds, this conversation offers timely perspectives on navigating uncertainty, managing risk, and staying focused on long-term investment goals. 

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