Markets have faced a wide range of events in a short period of time, from geopolitical tensions to shifts in interest rates and inflation. Despite that, diversified portfolios have remained more resilient than many expected.

In this market update, Brian Spinelli, Co-Chief Investment Officer at Halbert Hargrove, walks through what has happened across public markets, fixed income, and the broader economy. He explains how diversification has played out, what is driving market movements, and how investors can stay grounded during periods of uncertainty.

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