Financial Markets Update with Dr. Jeremy Siegel

Speaker

Jeremy Siegel

Russell E. Palmer Professor Emeritus of Finance

The Wharton School

Academic Director

Securities Industry Institute

Jeremy Siegel’s Biography

CFP® ; CIMA®, CPWA®, CIMC®, and RMA℠ Eligible Duration: 1 Hour Option 1: Wednesday, January 27th at 12:00pm ET Option 2: Monday, April 5th at 12:00pm ET This session will include Q&A at the end. Course Description

This session will explain the long-term risks and returns of the bond and stock markets, market valuations, risk return tradeoffs, and interest rates.

Learning Objectives:

  • Know the long term historical returns and risks on assets classes.
  • Understand the determinants of interest rates
  • Determine Valuations and P-E ratios.