David Rosenberg explains why we no longer are in a stock bull market

By Cambridge House International Inc. / July 23, 2020 / marketsanity.com / Article Link

Video Timestamps:19:30 Stock Market Concerns27:00 David Rosenberg's Investment Strategy32:40 Bank Of Canada Policy Meeting 202040:20 Investment strategy for the new normal48:50 Debt Ratios49:10 Gold Investment Idea52:10 Stagflation

David Rosenberg is the chief economist & strategist of Rosenberg Research & Associates, an economic consulting firm he established in January 2020. He received both a Bachelor of Arts and Masters of Arts degree in economics from the University of Toronto. Prior to starting his firm, he was Gluskin Sheff's chief economist & strategist. Mr. Rosenberg was also chief North American economist at Bank of America Merrill Lynch in New York and prior thereto, he was a senior economist at BMO Nesbitt Burns and Bank of Nova Scotia. Mr. Rosenberg previously ranked first in economics in the Brendan Wood International Survey for Canada for seven straight years, was on the US Institutional Investor All American All Star Team for four years, and was ranked second overall in the 2008 survey.

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