Posts by Samantha Masey
2017 State of the Economy Presentation
Bouchey Financial Group was honored to host close to 250 clients over two nights for our annual State of the Economy presentation. This years emphasis was on the lessons we learned as investors in 2016, as well as the “Year of Transition” heading into 2017. With the new Trump administration taking over and the markets…
Read MoreEconomic Update – January Jobs Report
The labor market began 2017 with mixed results, with positive results coming in the top line number as the U.S. economy created 227,000 jobs for the month. This was well above the consensus estimate of 174,000 jobs, although data for prior months were revised lower by a total of 39,000 jobs mainly due to November’s…
Read MoreThe Trump Presidency – Monitoring the First 100 Days
Today is an historic day, as Donald Trump will be inaugurated as the 45th President of the United States. Since winning in surprising fashion this past November, Mr. Trump has released policies that may have positive implications for both the U.S. economy and equity markets. This propelled equity markets to all-time highs, with the Dow…
Read MoreDecember Jobs Report
The labor market ended 2016 on a positive note, as the U.S. economy created 156,000 jobs for the month of December. Although this was below the consensus estimate, data for prior months were revised higher by a total of 19,000 jobs with November job growth coming in above the 200,000 level. The unemployment rate increased…
Read MoreMarket & Economic Update
As expected, the Federal Reserve voted unanimously last week to raise their benchmark rate by one-quarter point, as the committee believes that the economy is strong enough to withstand tighter monetary policy. This was the first rate increase in 12 months, and only the second rate increase since 2006. There were no major surprises in…
Read MoreFostering an Environment of Compliance
Written by: Marty Shields Bouchey Financial Group is a Registered Investment Advisor (RIA) and consequently we are regulated by the U.S. Securities & Exchange Commission (SEC). Approximately every 10 – 15 years the SEC audits the records and processes of the firms that it regulates. Our last audit was conducted in 2001 and this summer…
Read MoreWhat it Takes to Become a Certified Financial Planner ™ (CFP ®)
Financial goals evolve over the years, and may become more and more complex. When selecting a financial advisor to help achieve these goals, experience and education are important factors, but so is working with a trusted partner who will always act in your best interest. This is one of our core fundamental beliefs here at…
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