Andy’s Weekly Market Update|Inflation, Debt & Failed Breakouts: A Market Warning?| September 10th 2026

Is chasing the next shiny investment opportunity putting your long-term portfolio at risk?

In this week’s market update, Andy discusses how jumping from one investment strategy to another can turn short-term frustration into lasting financial damage—and why sticking with a sound, disciplined approach matters.

Andy also shares his perspective on global money creation, mounting debt, and inflation, exploring how those pressures can affect interest rates and market stability.

This week’s discussion covers:
• The risks of abandoning a solid investment strategy
• The relationship between money creation, debt, and inflation
• Comments from Schwab’s Liz Ann Sonders about bonds as an inflation hedge
• Why traditional 60/40 stock-and-bond portfolios face challenges
• What limited participation in new highs and failed breakouts—including NVIDIA (NVDA)—may signal about the market

With uncertainty building, are investors following a plan—or simply chasing what looks attractive next?

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⚠️ Disclaimer: This video is for educational and informational purposes only and should not be considered personalized investment, legal, or tax advice. Investing involves risk, including the possible loss of principal. Past performance is not indicative of future results. Always consult with a qualified financial professional before making investment decisions.

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Notes and thoughts from our director.

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Andy’s Weekly Market Update|How Growth Stocks Move Through the Market Cycle|September 17th, 2026

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Andy’s Weekly Market Update|When Doing Nothing Is a Position| September 3rd 2026