MARKET TURBULENCE AND RISING INTEREST RATES PRESENT AN OPPORTUNITY FOR INCOME NOT SEEN IN 15 YEARS
2023 continues to be a remarkably volatile time in financial markets. With interest rates elevated, uncertainty in both global and domestic politics, and recent challenges in the banking world — the stock market is at RISK! At Karel Capital, we are constructive on managing this risk and seizing the opportunities sure to be presented.
U.S. Treasury yields, bank CDs, and high paying dividend stocks are at levels untouched since 2008. As a result, reliable cashflow above 5% is available for the first time in 15 years!
Connect with us posthaste for a complimentary portfolio review — giving you assurance that you are positioned to mitigate stock market risk and take advantage of this major income opportunity!