Portfolio Commentary – 2nd Quarter 2015

The second quarter of 2015 finished with a sharp sell-off as uncertainty in Greece consumed global markets.  In just the last two days of the quarter, most European markets sold off approximately 4% while the Dow Jones and S&P 500 indexes dipped back into negative territory for the year.  The volatility continued into the first week of the third quarter as it looked increasingly likely that Greece would fully default and leave the Eurozone at some point in the future….

Portfolio Commentary – 2nd Quarter 2015