
Matthew Bartolini of SPDR Americas Research - Risks and Market Scenarios From the 2022 Midterm Elections
Welcome to the premiere episode of Weighing The Risk. This podcast was created to help financial advisors and investors reach long-term financial goals. Each month, we examine the top-of-mind economic or market topics, and the probability and possibility of various scenarios that could impact investment portfolios.
In this episode, Rusty talks with Matthew Bartolini, Managing Director and Head of SPDR Americas Research. In his role, Matthew is responsible for all product research and analysis of both SPDR ETFs and SSGA Funds. His team develops proprietary research, strategies, and thought leadership for the firm's ETF and mutual fund product suite. Matthew aims to help clients better understand the market landscape and achieve their desired investment outcome through customized solutions and proprietary research.
Matthew talks with Rusty about the current electoral map, how the market typically behaves around midterm elections, and how he sees the market in different scenarios.
Key Takeaways