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This conversation provides a comprehensive update on market performance in 2024, discussing key economic factors, risk assessments, and investment strategies. The speakers analyze market valuations, speculation trends, insider trading behaviors, and the implications of inflation on future investments, particularly in gold and silver. They emphasize the importance of stock selection amidst a growing trend towards passive investing and highlight the potential challenges posed by global conflicts and economic uncertainties.

DAVID MACNICOL

B. Eng. Sci, CIM, FCSI
Founder & President, MacNicol & Associates Asset Management

David established MacNicol & Associates Asset Management Inc. in 2001, after an extensive 20-year career in the investment management business, working for Canada Trust, Cassels Blaikie / Citibank, Connor Clark and Cumberland Asset Management.

JOE POCHODYNIAK

CFA, Senior Portfolio Manager, MacNicol & Associates Asset Management

Joseph is a Senior Portfolio Manager at MacNicol & Associates focused on Real Estate, Private Equity, Hedge Funds and alternative asset class strategies. Joseph has over fifteen years of professional experience in asset management and private investment counseling.

KEN REID

CIM, Associate Portfolio Manager, MacNicol & Associates Asset Management

Ken is an Associated Portfolio Manager at MacNicol focusing on North American mid and large cap equities. Ken previously was a public equity research associate at MAAM.