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Podcast: Money Life with Chuck Jaffe
Episode: Hancock's Miskin on playing the mixed signals in the US, Europe and in bonds
Description: Matt Miskin, co-chief investment strategist at John Hancock Investment Management, says that several European nations are in recession while their stock markets are pushing through record highs, in conditions so unusual that U.S. activities are helping foreign multinationals keep rolling. Still, Miskin believes the U.S. is the best market, though he is now skewing the portfolio toward mid-cap names, pulling back slightly on the mega-cap giants over valuation concerns and leaning into bonds for the safety of consistent returns in excess of 5 percent. Matt Harris, chief investment officer at The Hausberg Group, turns the conversation to technicals...