april 20, 2020 - envestnet pmc

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© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY. 1 Chart of the Week Economic Week Ahead April 20, 2020 MON April 2020 20 TUE April 2020 21 Mortgage applications WED April 2020 22 Jobless Claims New Sales: March (estimated 0.6) Kansas Fed Manufacturing THU April 2020 23 FRI April 2020 24 Durable Goods: March (estimated -5.0%) University of Michigan (estimated 71.0) Chicago National Index Existing Sales: March (estimated 5.1) 0.00 0.50 1.00 1.50 2.00 2.50 10/21 11/21 12/21 1/21 2/21 3/21 Yield % 10-Year Treasury Yield - Trailing 180 Days Source: Bloomberg

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Page 1: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

1

Chart of the Week

Economic Week Ahead

April 20, 2020

MON April202020

TUE April202021

• Mortgage applicationsWED April202022

• Jobless Claims• New Sales: March (estimated 0.6)• Kansas Fed Manufacturing

THU April202023

FRI April202024 • Durable Goods: March (estimated -5.0%)

• University of Michigan (estimated 71.0)

• Chicago National Index

• Existing Sales: March (estimated 5.1)

0.00

0.50

1.00

1.50

2.00

2.50

10/21 11/21 12/21 1/21 2/21 3/21

Yiel

d %

10-Year Treasury Yield - Tra iling 180 Days

Source: Bloomberg

Page 2: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

PMC Weekly Market Brief

2

April 20, 2020

0.7

0.8

0.9

1

1.1

1.2

1.3

Mar-18 May-18 Jul-18 Sep-18 Nov-18 Jan-19 Mar-19 May-19 Jul-19 Sep-19 Nov-19 Jan-20 Mar-20Source: Bloomberg

Wealth Index|Growth of $1: Trailing 24 Months

S&P 500 Dow Industrials Small Cap EAFE Emerging Mkts.

L

S

Source: Bloomberg

1.03% 3.68% 5.54%

-1.62% 0.95% 4.37%

-19.67%-26.33%-33.26%

One WeekValue Growth

-4.30% -1.41% 1.01%

YTDValue Growth

-17.44% -8.85% -2.06%

-25.54% -19.35% -9.94%

0

500

1000

1500

2000

2500

3000

3500

4000

Source: Bloomberg

S&P 500 Index: Trailing 180 Days

% Wgt in S&P 500

Week % Chg. YTD % Chg.

Consumer Discretionary 10.3 7.86% -6.3%Consumer Staples 7.8 4.18% -3.8%Energy 2.8 0.21% -43.0%Financials 10.6 -4.03% -27.1%Health Care 15.7 6.14% -1.2%Industrials 7.9 -0.14% -22.4%Information Technology 25.4 4.79% -2.5%Materials 2.4 -2.13% -18.0%Real Estate 3.0 -2.76% -10.8%Communication Services 10.6 4.14% -9.3%Utilities 3.5 -0.49% -6.3%

Source: Bloomberg

Sector Performance: S&P/Global Industry Classification Sectors (GICS)

Last Price Change % Chg. YTD % Last Price Change % Chg. YTD %S&P 500 2,874.56 84.74 3.04% -11.0% MSCI EM 884.86 -3.30 -0.37% -20.6%Dow Industrials 24,242.49 523.12 2.21% -15.1% 10-Year US Treas. 0.65 -8 bps NM NMNasdaq 8,650.14 496.57 6.09% -3.6% Bloomberg Cmdts. Idx. 62.09 -1.38 -2.18% -23.2%Russell 2000 1,229.10 -17.63 -1.41% -26.3% Gold $1,682.82 -$11.56 -0.68% 11.1%Euro Stoxx Index 333.47 1.67 0.50% -19.8% Crude Oil $18.12 -$4.48 -19.68% -69.5%Shanghai Composite 2,838.49 41.86 1.50% -6.9% Dollar Index 99.71 0.22 0.22% 3.5%MSCI ACWI 468.06 -1.81 -0.38% -17.2% VIX Index 38.15 -3.52 -8.45% 176.9%Source: Bloomberg; Index % change is based on price.

Market Dashboard

10

20

30

40

50

60

70

80

90

Oct-19 Nov-19 Dec-19 Jan-20 Feb-20 Mar-20Source: Bloomberg

VIX Index: Trailing 180 Days

Page 3: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

PMC Weekly Market Brief

3

April 20, 2020

0

1000

2000

3000

4000

5000

6000

7000

8000

1/24 2/7 2/21 3/6 3/20 4/3

Thou

sand

s

Initial Jobless Claims-Trailing 12 Wks.

Source: Bloomberg

Economic Data

-0.5

-0.4

-0.3

-0.2

-0.1

0

0.1

0.2

0.3

0.4

Apr-19 Jun-19 Aug-19 Oct-19 Dec-19 Feb-20

Mon

thly

% C

hg.

Consumer Price Index-Trailing 12 Mos.

Headline CPI Core CPISource: Bloomberg

110.0

115.0

120.0

125.0

130.0

135.0

140.0

Apr-19 Jun-19 Aug-19 Oct-19 Dec-19 Feb-20

Inde

x

Consumer Board Confidence Index - Trailing 12 Mos.

Source: Bloomberg

-800

-600

-400

-200

0

200

400

Apr-19 Jun-19 Aug-19 Oct-19 Dec-19 Feb-20

Thou

sand

s

Non-Farm Payrolls-Trailing 12 Mos.

Source: Bloomberg

0.0

0.5

1.0

1.5

2.0

2.5

3.0

3.5

4.0

Mar-17 Sep-17 Mar-18 Sep-18 Mar-19 Sep-19

%

Real GDP Growth Rate - Annualized - 12 Qtrs .

Source: Bloomberg

0.0

0.5

1.0

1.5

2.0

2.5

3.0

3.5

4.0

4.5

5.0

Apr-19 Jun-19 Aug-19 Oct-19 Dec-19 Feb-20

%

Unemployment Rate-Trailing 12 Mos.

Source: Bloomberg

Page 4: April 20, 2020 - Envestnet PMC

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PMC Weekly Market Brief April 20, 2020

4

Last Change % Chg. YTD % Last Change % Chg. YTD %Germany 10-Yr. Govt. -0.48 13 bps NM NM France 10-Yr. Govt. 0.03 7 bps NM NMGreece 10-Yr. Govt. 2.11 -30 bps NM NM Ireland 10-Yr. Govt. 0.16 4 bps NM NMItaly 10-Yr. Govt. 1.79 -18 bps NM NM Portugal 10-Yr. Govt. 0.96 -6 bps NM NMSpain 10-Yr. Govt. 0.81 -3 bps NM NM Netherlands 10-Yr. Govt. -0.18 10 bps NM NMBelgium 10-Yr. Govt. 0.10 7 bps NM NM U.K. 10-Yr. Govt. 0.30 -1 bps NM NM

SELECTED EUROPEAN SOVEREIGN YIELD PERFORMANCE

Source: BloombergBasis points (bps)

0.0

0.2

0.4

0.6

0.8

1.0

1.2

1.4

1/20 2/3 2/17 3/2 3/16 3/30 4/13

%

Spain 10-Year Government Bond Yield

Source: Bloomberg

0.0

0.5

1.0

1.5

2.0

2.5

3.0

1/20 2/3 2/17 3/2 3/16 3/30 4/13

%

Italy 10-Year Government Bond Yield

Source: Bloomberg

Eurozone

-1.00

-0.90

-0.80

-0.70

-0.60

-0.50

-0.40

-0.30

-0.20

-0.10

0.00

1/20 2/3 2/17 3/2 3/16 3/30 4/13

%

Germany 10-Year Government Bond Yield

Source: Bloomberg

0.0

0.5

1.0

1.5

2.0

2.5

3.0

3.5

4.0

1/20 2/3 2/17 3/2 3/16 3/30 4/13

%

Greece 10-Year Government Bond Yield

Source: Bloomberg

Page 5: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

PMC Weekly Market Brief April 20, 2020

5

0

2,000

4,000

6,000

8,000

10,000

12,000

1/21 2/4 2/18 3/3 3/17 3/31 4/14

Inde

xNasdaq Composite-Trailing 90 Days

Source: Bloomberg

2,000

2,200

2,400

2,600

2,800

3,000

3,200

1/20 2/3 2/17 3/2 3/16 3/30 4/13

Inde

x

Shanghai Composite Index-Trailing 90 Days

Source: Bloomberg

0

5,000

10,000

15,000

20,000

25,000

30,000

35,000

1/21 2/4 2/18 3/3 3/17 3/31 4/14

Inde

x

Dow Jones Industrial Average -Trailing 90 Days

Source: Bloomberg

Equities

Last Change % Chg. YTD % Last Change % Chg. YTD %S&P 500 2,874.56 84.74 3.04% -11.03% Swiss Market Index 9,612.83 160.00 1.69% -9.46%Dow Industrials 24,242.49 523.12 2.21% -15.05% CAC 40 Index (France) 4,499.01 -7.84 -0.17% -24.74%Nasdaq Composite 8,650.14 496.57 6.09% -3.59% DAX Index (Germany) 10,625.78 61.04 0.58% -19.80%MSCI ACWI 468.06 -1.81 -0.38% -17.2% Irish Overall Index 5,277.52 -11.66 -0.22% -26.53%MSCI EM 884.86 -3.30 -0.37% -20.6% Nikkei 225 19,897.26 398.76 2.05% -15.89%S&P/TSX (Canada) 14,359.88 193.25 1.36% -15.84% Hang Seng Index 24,380.00 409.63 1.71% -13.51%Mexico IPC 34,743.10 175.31 0.51% -20.21% Shanghai Composite 2,838.49 41.86 1.50% -6.94%Brazil Bovespa 78,990.30 1308.39 1.68% -31.70% Kospi Index (S. Korea) 1,914.53 78.32 4.27% -12.88%Euro Stoxx 600 333.47 1.67 0.50% -19.81% Taiwan Taiex Index 10,597.04 439.43 4.33% -11.67%FTSE 100 5,786.96 -55.70 -0.95% -23.27% Tel Aviv 25 Index 1,324.22 -12.82 -0.96% -21.33%

IBEX 35 (Spain) 6,875.80 -194.80 -2.76% -28.00% MOEX Index (Russia) 2,534.97 -142.89 -5.34% -16.77%

WORLD MARKET PERFORMANCE

Source: Bloomberg; Index % change is based on price.

0

50

100

150

200

250

300

350

400

450

500

1/20 2/3 2/17 3/2 3/16 3/30 4/13

Inde

x

Euro Stoxx Index-Trailing 90 Days

Source: Bloomberg

Page 6: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

PMC Weekly Market Brief April 20, 2020

6

0

20,000

40,000

60,000

80,000

100,000

120,000

140,000

1/20 2/3 2/17 3/2 3/16 3/30 4/13

Inde

x

Brazil (Bovespa Index)-Trailing 90 Days

Source: Bloomberg

0

5,000

10,000

15,000

20,000

25,000

30,000

35,000

40,000

45,000

1/20 2/3 2/17 3/2 3/16 3/30 4/13

Inde

x

India (Sensex Index)-Trailing 90 Days

Source: Bloomberg

0

200

400

600

800

1,000

1,200

1,400

1/19 2/2 2/16 3/1 3/15 3/29 4/12

Inde

x

Egypt (Hermes Index)-Trailing 90 Days

Source: Bloomberg

0

500

1,000

1,500

2,000

2,500

3,000

3,500

1/20 2/3 2/17 3/2 3/16 3/30 4/13

Inde

x

Singapore (Straits Times Index)-Trailing 90 Days

Source: Bloomberg

Equities – Emerging and Frontier Markets

Last Change % Chg. YTD % Last Change % Chg. YTD %Mexico IPC 34,743.10 175.31 0.5% -20.2% Hang Seng Index 24,380.00 409.63 1.7% -13.5%Brazil (Bovespa Index) 78,990.30 1308.39 1.7% -31.7% India (Sensex 30) 31,588.72 0.00 0.0% -23.4%MOEX Index (Russia) 2,534.97 -142.89 -5.3% -16.8% Malaysia (KLCI Index) 1,407.34 49.84 3.7% -11.4%Czech Republic (Prague) 851.36 11.28 1.3% -23.7% Singapore (Straits Times Index) 2,614.60 43.28 1.7% -18.9%Turkey (Istanbul) 98,179.82 1708.85 1.8% -14.2% Thailand (SET Index) 1,239.24 11.21 0.9% -21.6%Egypt (Hermes Index) 947.25 0.74 0.1% -26.2% Indonesia (Jakarta) 4,634.82 -14.26 -0.3% -26.4%Kenya (Nairobi 20 Index) 1,973.82 6.69 0.3% -25.6% Pakistan (Karachi KSE 100) 32,831.83 798.63 2.5% -19.4%Saudi Arabia (TASI Index) 6,631.69 -374.55 -5.3% -20.9% Vietnam (Ho Chi Minh) 789.60 31.66 4.2% -17.8%Lebanon (Beirut BLOM Index) 585.16 -5.04 -0.9% -25.5% Sri Lanka (Colombo) 4,571.63 0.00 0.0% -25.4%Palestine 498.90 0.00 0.0% -5.1% Cambodia (Laos) 610.16 4.46 0.7% -16.2%

EMERGING AND FRONTIER MARKET PERFORMANCE

Source: Bloomberg; Index % change is based on price.

Page 7: April 20, 2020 - Envestnet PMC

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PMC Weekly Market Brief April 20, 2020

YIELD CURVES

7

Last Change % Chg. YTD % Last Change % Chg. YTD %2-Yr. U.S. Treasury 0.20% 0 bps NM NM Prime Rate 3.25% 0.00 NM NM5-Yr. U.S. Treasury 0.36% -5 bps NM NM Fed Funds Rate 0.25% 0.00 NM NM10-Yr. U.S. Treasury 0.65% -8 bps NM NM Discount Rate 0.25% 0.00 NM NM30-Yr. U.S. Treasury 1.28% -8 bps NM NM LIBOR (3 Mo.) 1.14% -8 bps NM NMGerman 10-Yr. Govt. -0.48% 13 bps NM NM Bond Buyer 40 Muni 2.91% -11 bps NM NMFrance 10-Yr. 0.03% 7 bps NM NM Bond Buyer 40 G.O. 2.25% NA NM NMItaly 10-Yr. 1.79% -18 bps NM NM Bond Buyer 40 Rev. 2.75% NA NM NMFed 5-Yr Fwd BE Inf. 1.50% 17 bps NM NM

SELECTED INTEREST RATES

Source: Bloomberg

1M 1Y 3Y 5Y 8Y 10Y 15Y 20Y 30Y0.00

1.00

2.00

3.00

4.00

5.00

6.00

US Treasury Actives Curve 20200417US Treasury Actives Curve 20200410USD Composite (A) BFV Curve 20200418USD Composite (BBB) BFV Curve 20200418

1.00

1.50

2.00

2.50

3.00

3.50

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

BBB/Baa- 10-Yr Treas. Spread Rising Line = Risk Aversion

Source: Bloomberg

Source: Bloomberg

Interest Rates

0.00

0.50

1.00

1.50

2.00

2.50

10/21 11/21 12/21 1/21 2/21 3/21

Yiel

d %

10-Year Treasury Yield - Tra iling 180 Days

Source: Bloomberg

Page 8: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

PMC Weekly Market Brief April 20, 2020

8

90

92

94

96

98

100

102

104

10/21 11/21 12/21 1/21 2/21 3/21

U.S. Dollar Index - Trailing Six Months

Source: Bloomberg

0.80

0.85

0.90

0.95

1.00

1.05

1.10

1.15

1.20

10/21 11/21 12/21 1/21 2/21 3/21

Euro - U.S. Dollars per Euro

Source: Bloomberg

96.00

98.00

100.00

102.00

104.00

106.00

108.00

110.00

112.00

114.00

10/21 11/21 12/21 1/21 2/21 3/21

Japanese yen - Yen per U.S. Dollar

Source: Bloomberg

Last Change % Chg. YTD % Last Change % Chg. YTD %Dollar Index 99.71 0.216 0.22% 3.47% Chinese Yuan 7.07 0.038 -0.53% -1.56%Euro 1.09 -0.007 -0.59% -3.04% Swiss Franc 0.97 0.001 -0.13% -0.09%Japanese Yen 107.54 -0.870 0.81% 0.94% New Zealand Dollar 0.60 -0.005 -0.74% -10.49%British Pound 1.25 0.004 0.32% -5.75% Brazilian Real 5.23 0.127 -2.42% -23.01%Canadian Dollar 1.40 0.006 -0.45% -7.34% Mexican Peso 23.70 0.367 -1.55% -20.07%

SELECTED CURRENCY PERFORMANCE

Source: Bloomberg

6.70

6.75

6.80

6.85

6.90

6.95

7.00

7.05

7.10

7.15

10/21 11/21 12/21 1/21 2/21 3/21

Chinese yuan - yuan per U.S. Dollar

Source: Bloomberg

Currencies

Page 9: April 20, 2020 - Envestnet PMC

© 2020 Envestnet, Inc. All rights reserved. FOR ONE-ON-ONE USE WITH A CLIENT’S FINANCIAL ADVISOR ONLY.

PMC Weekly Market Brief April 20, 2020

9

0

10

20

30

40

50

60

70

10/21 11/21 12/21 1/21 2/21 3/21

$ pe

r bar

rel

Crude Oil - Light Crude ($ per barrel)

Source: Bloomberg

1,300

1,350

1,400

1,450

1,500

1,550

1,600

1,650

1,700

1,750

10/21 11/21 12/21 1/21 2/21 3/21

$ pe

r oun

ce

Gold - Spot gold price ($ per ounce)

Source: Bloomberg

320

330

340

350

360

370

380

390

400

410

420

10/21 11/21 12/21 1/21 2/21 3/21

$ pe

r bus

hel

Corn - Active Contract

Source: Bloomberg

Last Change % Chg. YTD % Last Change % Chg. YTD %Bloomberg Comm. Idx. 62.09 -1.38 -2.18% -23.23% Platinum Spot $776.65 $24.98 3.33% -19.79%Crude Oil $18.09 -$4.48 -19.68% -69.52% Corn 329.25 -7.50 -2.23% -17.89%Natural Gas $1.76 $0.02 0.92% -20.06% Wheat 533.75 -23.75 -4.26% -5.28%Gasoline ($/Gal.) $1.83 -$0.05 -2.46% -29.32% Soybeans 842.25 -28.75 -3.30% -14.03%Heating Oil 96.22 -0.89 -0.92% -51.43% Sugar 10.53 0.04 0.38% -22.91%Gold Spot $1,682.82 -$11.56 -0.68% 11.06% Orange Juice 107.40 -3.55 -3.20% 1.80%Silver Spot $15.18 -$0.38 -2.46% -14.95% Aluminum 1,512.50 33.00 2.23% -16.44%Source: Bloomberg; % change is based on price. Copper 5,140.00 120.50 2.40% -16.75%

SELECTED COMMODITY MARKET PERFORMANCE

Commodities

0

1,000

2,000

3,000

4,000

5,000

6,000

7,000

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

Copper

Source: Bloomberg

Page 10: April 20, 2020 - Envestnet PMC

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PMC Weekly Market Brief April 20, 2020

10

1,050

1,100

1,150

1,200

1,250

1,300

1,350

1/21 2/4 2/18 3/3 3/17 3/31 4/14

Inde

x

HFRX Global Hedge Fund Index - Trailing 90 Days

Source: Bloomberg

800

820

840

860

880

900

920

940

960

1/21 2/4 2/18 3/3 3/17 3/31 4/14

Inde

x

HFRX Equity Market Neutral - Trailing 90 Days

Source: Bloomberg

1,300

1,350

1,400

1,450

1,500

1,550

1,600

1/20 2/3 2/17 3/2 3/16 3/30 4/13

Inde

x

IQ Fixed Income Beta Arb Index - Trailing 90 Days

Source: Bloomberg

0

200

400

600

800

1,000

1,200

1,400

1/21 2/4 2/18 3/3 3/17 3/31 4/14

Inde

x

HFRX Equity Hedge Index - Trailing 90 Days

Source: Bloomberg

Last Change % Chg. YTD % Last Change % Chg. YTD %HFRX Global Hedge Fund Index 1228.73 16.50 1.36% -4.93% HFRX Special Situation Index 1261.12 14.01 1.12% -3.77%HFRX Equity Market Neutral 860.26 -25.66 -2.90% -9.87% HFRX Merger Arbitrage Index 1727.71 17.03 1.00% -5.17%HFRX Equity Hedge Index 1137.20 16.18 1.44% -10.77% HFRX Convertible Arbitrage Index 803.42 14.08 1.78% -3.34%HFRX Event-Driven Index 1555.17 17.15 1.12% -3.87% HFRX Macro CTA Index 1175.36 13.27 1.14% -0.45%HFRX Absolute Return Index 1045.27 -0.55 -0.05% -5.34% IQ Fixed Income Beta Arb Index 1508.23 -0.26 -0.02% -2.68%

SELECTED ALTERNATIVE INVESTMENT INDEX PERFORMANCE

Source: Bloomberg; Index % change is based on price.

Alternative Investments

Page 11: April 20, 2020 - Envestnet PMC

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PMC Weekly Market Brief

4.00

4.20

4.40

4.60

4.80

5.00

5.20

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

S&P 500/MSCI EAFE - Trailing 180 Days

Source: Bloomberg

1.35

1.40

1.45

1.50

1.55

1.60

1.65

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

MSCI EAFE/MSCI EM - Trailing 180 Days

Source: Bloomberg

0.00

0.10

0.20

0.30

0.40

0.50

0.60

0.70

10/21 11/21 12/21 1/21 2/21 3/21

Inde

xLarge Cap/Small Cap - Trailing 180 Days

Source: Bloomberg

0.00

0.20

0.40

0.60

0.80

1.00

1.20

1.40

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

Growth/Value - Trailing 180 Days

Source: Bloomberg

April 20, 2020

11

3.00

4.00

5.00

6.00

7.00

8.00

9.00

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

S&P 500/MSCI EM - Trailing 180 Days

Source: Bloomberg

Portfolio Construction

Page 12: April 20, 2020 - Envestnet PMC

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PMC Weekly Market Brief

0.660

0.680

0.700

0.720

0.740

0.760

0.780

0.800

0.820

0.840

0.860

0.880

10/21 11/21 12/21 1/21 2/21 3/21

Inde

xHigh Yield/Inv. Grade Bonds - Trailing 180 Days

Source: Bloomberg

0.240

0.250

0.260

0.270

0.280

0.290

0.300

0.310

0.320

0.330

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

Info Tech/S&P 500 - Trailing 180 Days

Source: Bloomberg

0.00

0.50

1.00

1.50

2.00

2.50

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

Inv. Grade Bonds/Int. Govt. Bonds - Trailing 180 Days

Source: Bloomberg

0.00

0.20

0.40

0.60

0.80

1.00

1.20

1.40

1.60

1.80

10/21 11/21 12/21 1/21 2/21 3/21

Inde

x

High Yield Bonds/Int. Govt. Bonds - Trailing 180 Days

Source: Bloomberg

April 20, 2020

12

Portfolio Construction (continued)

Page 13: April 20, 2020 - Envestnet PMC

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PMC Weekly Market Brief

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April 20, 2020

The Relative Strength Matrix provides an indication of how the various asset classes have performed relative to one another over the past 30 days. A number greater than 1.0 indicates that the asset class in the far left column has outperformed the corresponding asset class in the top row over the past 30 days. A number below 1.0 means the asset class on the left has underperformed the asset class at the top. The green shading indicates outperformance, and the red shading indicates underperformance.

Source: Bloomberg

Large Cap Core

Large Cap Growth

Large Cap Value

Mid Cap Core

Mid Cap Growth

Mid Cap Value

Small Cap Core

Small Cap Growth

Small Cap Value

Int'l . Developed

Emerging Markets REITs Comm. Int. Bond High Yield

Large Cap Core 1.00 0.95 1.08 1.09 1.01 1.14 1.15 1.09 1.21 1.19 1.14 1.07 1.38 0.87 1.01Large Cap Growth 1.05 1.00 1.13 1.14 1.06 1.20 1.20 1.15 1.27 1.25 1.19 1.13 1.45 0.92 1.06Large Cap Value 0.93 0.89 1.00 1.01 0.94 1.06 1.07 1.01 1.12 1.11 1.06 1.00 1.29 0.81 0.94Mid Cap Core 0.92 0.88 0.99 1.00 0.93 1.05 1.05 1.00 1.11 1.10 1.04 0.99 1.27 0.80 0.93Mid Cap Growth 0.99 0.94 1.06 1.07 1.00 1.12 1.13 1.08 1.19 1.18 1.12 1.06 1.36 0.86 1.00Mid Cap Value 0.88 0.84 0.94 0.95 0.89 1.00 1.00 0.96 1.06 1.05 1.00 0.94 1.21 0.77 0.89Small Cap Core 0.87 0.83 0.94 0.95 0.89 1.00 1.00 0.95 1.05 1.04 0.99 0.94 1.21 0.76 0.89Small Cap Growth 0.92 0.87 0.99 1.00 0.93 1.05 1.05 1.00 1.11 1.10 1.04 0.99 1.27 0.80 0.93Small Cap Value 0.83 0.79 0.89 0.90 0.84 0.95 0.95 0.90 1.00 0.99 0.94 0.89 1.15 0.72 0.84Int'l . Developed 0.84 0.80 0.90 0.91 0.85 0.95 0.96 0.91 1.01 1.00 0.95 0.90 1.16 0.73 0.85Emerging Markets 0.88 0.84 0.95 0.96 0.89 1.00 1.01 0.96 1.06 1.05 1.00 0.95 1.22 0.77 0.89REITs 0.93 0.89 1.00 1.01 0.94 1.06 1.07 1.02 1.12 1.11 1.06 1.00 1.29 0.81 0.94Commodities 0.72 0.69 0.78 0.79 0.73 0.82 0.83 0.79 0.87 0.86 0.82 0.78 1.00 0.63 0.73Int. Bond 1.15 1.09 1.23 1.25 1.16 1.31 1.31 1.25 1.38 1.37 1.30 1.23 1.59 1.00 1.16High Yield 0.99 0.94 1.06 1.07 1.00 1.12 1.13 1.08 1.19 1.18 1.12 1.06 1.36 0.86 1.00

RELATIVE STRENGTH MATRIX (BASED ON 30-DAY RSI)

1/30 2/6 2/13 2/20 2/27 3/5 3/12 3/19 3/26 4/2 4/9 4/16

Large Cap (R200) -1.06% 2.10% 0.87% -0.01% -11.76% 1.82% -17.52% -1.97% 8.85% -3.45% 9.53% 1.23%

Small Cap (R2000) -2.18% 1.77% 0.97% 0.14% -11.69% -1.27% -24.07% -5.72% 11.48% -8.01% 14.82% -5.51%

MSCI EAFE -1.84% 1.94% -0.20% -1.48% -6.79% -0.58% -19.66% -7.36% 12.99% -3.52% 6.66% -1.55%

MSCI Em. Mkts. -4.40% 2.76% 0.33% -0.97% -5.90% 0.84% -15.03% -13.22% 11.07% -1.50% 5.85% -0.31%

BarCap Agg. (AGG) 0.64% -0.37% 0.25% 0.44% 0.61% 1.41% -5.87% -1.07% 5.63% -0.16% 2.05% 0.12%

High Yield (JNK) -0.16% 0.19% 0.32% 0.07% -3.24% 0.36% -10.20% -8.35% 6.47% -1.51% 10.06% -2.00%

Bloomberg Commodity

Index-3.95% -0.24% 0.48% 1.19% -4.77% 0.15% -8.97% -7.16% 3.09% -2.81% 3.13% -2.24%

Hedge Funds (HFRX Global) -0.49% 0.56% 0.32% 0.16% -1.93% -0.23% -3.68% -5.00% 2.01% 0.06% 1.04% 1.36%

60/40* -0.82% 1.12% 0.45% -0.10% -5.96% 0.89% -13.93% -3.72% 8.60% -2.57% 6.85% -0.49%

48/32/20 (w/Alts.)** -0.75% 1.01% 0.42% -0.05% -5.15% 0.66% -11.88% -3.98% 7.28% -2.04% 5.69% -0.12%

Source: Bloomberg; *60/40 portfolio = 30% Large Cap/10% Small Cap/15% EAFE/5% Emerging Markets/35% BarCap Agg./5% High Yield.**48/32/20 portfolio = 24% Large Cap/8% Small Cap/12% EAFE/4% Emerging Markets/28% BarCap Agg./4% High Yield/20% HFRX Global Index.

WEEKLY ASSET CLASS PERFORMANCE (Prior 12 weeks ending Thursday)

Alternatives

Asset Allocation

Domestic Equity

Int'l. Equity

Fixed Income

Commodities

Equity

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PMC Weekly Market Brief April 20, 2020

14

Index Overview & Key DefinitionsFed, The Fed or FED refers to the Federal Reserve System, the central bank of the United States. The Federal Open Market Committee (FOMC) is the monetary policymaking body ofthe Federal Reserve System. Fed Funds Rate, the interest rate at which a depository institution lends funds maintained at the Federal Reserve to another depository institutionovernight. The European Central Bank (ECB) is the central bank for Europe's single currency, the euro. The ECB’s main task is to maintain the euro's purchasing power and thus pricestability in the euro area. The euro area comprises the 19 European Union countries that have introduced the euro since 1999. The Gross Domestic Product (GDP) rate is ameasurement of the output of goods and services produced by labor and property located in the United States. Basis Point(s) is a unit that is equal to 1/100th of 1%, and is used todenote the change in a financial instrument. The basis point is commonly used for calculating changes in interest rates, equity indexes and the yield of a fixed-income security. Aseparately managed account (SMA) is an individual managed investment account offered typically by a brokerage firm through one of their brokers or financial consultants andmanaged by independent investment management firms (often called money managers for short) and have varying fee structures. The Consumer Price Index (CPI) measures thechange in the cost of a f ixed basket of products and services. The Producer Price Index (PPI) program measures the average change over time in the selling prices received bydomestic producers for their output. The prices included in the PPI are from the f irst commercial transaction for many products and some services. Core CPI is an additional CPIIndex, excludes energy and food item price changes, and measures the “core” or “underlying” rate of inflation. The PCE (Personal Consumption Expenditure) Index of Prices is a US--wide indicator of the average increase in prices for all domestic personal consumption. Using a variety of data including U.S. Consumer Price Index and Producer Price Index prices, itis derived from personal consumption expenditures; essentially a measure of goods and services targeted towards individuals and consumed by individuals. The PurchasingManagers' Index (PMI) is an indicator of the economic health of the manufacturing sector. The PMI is based on five major indicators: new orders, inventory levels, production,supplier deliveries and the employment environment. Brexit is a commonly used term for the United Kingdom's withdrawal from the European Union. The Kansas City FedManufacturing Survey monitors manufacturing plants selected according to geographic distribution, industry mix and size in the Tenth Federal Reserve District. West TexasIntermediate (WTI), also known as Texas light sweet, is a grade of crude oil used as a benchmark in oil pricing. Risk Premium is the return in excess of the risk-free rate of return aninvestment is expected to yield. LIBOR or ICE LIBOR (previously BBA LIBOR) is a benchmark rate, which some of the world’s leading banks charge each other for short-term loans. Itstands for Intercontinental Exchange London Interbank Offered Rate and serves as the first step to calculating interest rates on various loans throughout the world.

The Dow Jones Industrial Average (DOW or DJIA) is an unmanaged index of 30 common stocks comprised of 30 actively traded blue chip stocks, primarily industrials and assumesreinvestment of dividends. The S&P 500 Index is an unmanaged index comprised of 500 widely held securities considered to be representative of the stock market in general. TheS&P/Case-Shiller Home Price Indices measure the residential housing market, tracking changes in the value of the residential real estate market in 20 metropolitan regions acrossthe United States. The Nasdaq Composite Index is a stock market index of the common stocks and similar securities listed on the NASDAQ stock market. The US Dollar Index is ameasure of the value of the United States dollar relative to a basket of foreign currencies. It is a weighted geometric mean of the dollar's value relative to other select currencies(Euro, Japanese yen, Pound sterling, Canadian dollar, Swedish krona (SEK) & Swiss franc). The FTSE 100 Index (FTSE 100) is a share index of the 100 companies listed on the LondonStock Exchange (LSE) with the highest market capitalization. The Bloomberg Commodity Index (formerly the Dow Jones-UBS Commodity Index) tracks prices of futures contracts onphysical commodities on the commodity markets and is designed to minimize concentration in any one commodity or sector (currently 22 commodity futures in seven sectors). TheBarclays Capital US Credit Index is an unmanaged index considered representative of publicly issued, SEC-registered US corporate and specified foreign debentures and securednotes. The Barclays Capital US Aggregate Bond Index is a market capitalization-weighted index of investment-grade, fixed-rate debt issues, including government, corporate, asset-backed, and mortgage-backed securities, with maturities of at least one year. The Barclays Capital US Corporate High Yield Index covers the USD-denominated, non-investmentgrade, fixed-rate, taxable corporate bond market. Securities are classified as high-yield if the middle rating of Moody’s, Fitch and S&P is Ba1/BB+/BB+ or below. The index mayinclude emerging market debt. The Barclays Capita l Municipal Bond Index is an unmanaged index comprised of investment-grade, fixed-rate municipal securities representative ofthe tax-exempt bond market in general. The Barclays Capital US Treasury Total Return Index is an unmanaged index of public obligations of the US Treasury with a remainingmaturity of one year or more. The Barclays Capital Global Aggregate ex-U.S. Index is a market capitalization-weighted index, meaning the securities in the index are weightedaccording to the market size of each bond type. Most U.S. traded investment grade bonds are represented. Municipal bonds, and Treasury Inflation-Protected Securities areexcluded, due to tax treatment issues. The index includes Treasury securities, Government agency bonds, Mortgage-backed bonds, Corporate bonds, and a small amount of fore ignbonds traded in U.S. The Barclays Capital U.S. 5-10 Year Corporate Bond Index measures the investment return of U.S. dollar denominated, investment-grade, fixed rate, taxablesecurities issued by industrial, utility, and financial companies with maturities between 5 and 10 years. Treasury securities, mortgage-backed securities (MBS) foreign bonds,government agency bonds and corporate bonds are some of the categories included in the index. The Barclays Capital U.S Corporate High-Yield Index is composed of fixed-rate,publicly issued, non-investment grade debt. The Barclays Capital U.S. Corporate 5-10 Year Index includes U.S. dollar-denominated, investment-grade, fixed-rate, taxable securitiesissued by industrial, utility, & financial companies, with maturities between 5 & 10 years. The Russell 1000 Index is a market capitalization-weighted benchmark index made up ofthe 1000 largest U.S. companies in the Russell 3000 Index. The Russell 1000 Growth Index is an unmanaged index considered representative of large-cap growth stocks. The Russell1000 Value Index is an unmanaged index considered representative of large-cap value stocks. The Russell 2000 Index is an unmanaged index considered representative of small-capstocks. The Russell 2000 Growth Index is an unmanaged index considered representative of small-cap growth stocks. The Russell 2000 Growth Index is an unmanaged indexconsidered representative of small-cap value stocks. The Russell 3000 Index is an unmanaged index considered representative of the US stock market. The Russell Midcap Index is asubset of the Russell 1000 Index. It includes approximately 800 of the smallest securities based on a combination of their market cap and current index membership. The RussellMidcap Growth Index is an unmanaged index considered representative of mid-cap growth stocks. The Russell Midcap Value Index is an unmanaged index consideredrepresentative of mid-cap value stocks. The HFRX Indices are a series of benchmarks of hedge fund industry performance which are engineered to achieve representativeperformance of a larger universe of hedge fund strategies. Hedge Fund Research, Inc. employs the HFRX Methodology (UCITS compliant), a proprietary and highly quantitativeprocess by which hedge funds are selected as constituents for the HFRX Indices. The University of Michigan Consumer Sentiment Index (MCSI) is a survey of consumer confidenceconducted by the University of Michigan using telephone surveys to gather information on consumer expectations regarding the overall economy. The CBOE Volatility Index (VIX) isan up-to-the-minute market estimate of expected volatility that is calculated by using real-time S&P 500 Index option bid/ask quotes. The Index uses nearby and second nearbyoptions with at least 8 days left to expiration and then weights them to yield a constant, 30-day measure of the expected volatility of the S&P 500 Index. The MSCI EAFE Index isdesigned to measure the equity market performance of developed markets outside of the U.S. & Canada. The MSCI EAFE Growth Index is an unmanaged index consideredrepresentative of growth stocks of Europe, Australasia and the Far East. The MSCI EAFE Value Index is an unmanaged index considered representative of value stocks of Europe,Australasia and the Far East. The MSCI EM (Emerging Markets) Latin America Index is a free float-adjusted market capitalization weighted index that is designed to measure theequity market performance of emerging markets in Latin America. The MSCI World ex-U.S. Index captures large and mid-cap representation across 22 of 23 Developed Markets(DM) countries - excluding the US. With 1,002 constituents, the index covers approximately 85% of the free float-adjusted market capitalization in each country. The MSCI JapanIndex is designed to measure the performance of the large and mid-cap segments of the Japanese market. With 320 constituents, the index covers approximately 85% of the freefloat-adjusted market capitalization in Japan. The MSCI Emerging Markets Index is a free float-adjusted market capitalization index that is designed to measure equity marketperformance in the global emerging markets. The MSCI Europe Index is an unmanaged index considered representative of stocks of developed European countries. The MSCIPacific Index is a free float-adjusted market capitalization weighted index that is designed to measure the equity market performance of the developed markets in the Pacific region.The Barclays Intermediate US Government/Credit Bond Index is a market capitalization-weighted index of investment-grade, fixed-rate debt issues, including Treasuries,government-related and U.S. corporate securities, with maturities of at least one year and less than 10 years. The NY Empire State Manufacturing Index is based on the monthlysurvey of manufacturers in New York State – known as the Empire State Manufacturing Survey – conducted by the Federal Reserve Bank of New York. The S&P The Dow JonesWilshire U.S. REIT Index tracks the performance of publicly traded REITs and REIT-like securities and is designed to serve as a proxy for direct real estate investment, in part byexcluding companies whose performance may be driven by factors other than the value of real estate. The Russell Top 200 Index measures the performance of the 200 largestcompanies in the Russell 1000 Index, with a weighted average market capitalization of $186 billion. The Barclays 1-3 Year US Treasury Bond Index measures public US Treasuryobligations with remaining maturities of one to three years. The S&P LSTA Leveraged Loan Index is an unmanaged capitalization-weighted syndicated loan index based upon marketweightings, spreads and interest payments. It covers the US market back to 1997 and currently calculates on a daily basis. The NFIB Small Business Optimism Index is compiledfrom a survey that is conducted each month by the National Federation of Independent Business (NFIB) of its members

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PMC Weekly Market Brief April 20, 2020

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The information, analysis, and opinions expressed herein are for general and educational purposes only. Nothing contained in this weeklyreview is intended to constitute legal, tax, accounting, securities, or investment advice, nor an opinion regarding the appropriateness of anyinvestment, nor a solicitation of any type. All investments carry a certain risk, and there is no assurance that an investment will providepositive performance over any period of time. An investor may experience loss of principal. Investment decisions should always be madebased on the investor’s specific financial needs and objectives, goals, time horizon, and risk tolerance. The asset classes and/or investmentstrategies described may not be suitable for all investors and investors should consult with an investment advisor to determine theappropriate investment strategy. Past performance is not indicative of future results.

Information obtained from third party sources are believed to be reliable but not guaranteed. Envestnet|PMC™ makes no representationregarding the accuracy or completeness of information provided herein. All opinions and views constitute our judgments as of the date ofwriting andare subject to change at anytime without notice.

Investments in smaller companies carry greater risk than is customarily associated with larger companies for various reasons such as volatilityof earnings and prospects, higher failure rates, and limited markets, product lines or financial resources. Investing overseas involves specialrisks, including the volatility of currency exchange rates and, in some cases, limited geographic focus, political and economic instability, andrelatively illiquid markets. Income (bond) securities are subject to interest rate risk, which is the risk that debt securities in a portfolio willdecline in value because of increases in market interest rates.

Exchange Traded Funds (ETFs) are subject to risks similar to those of stocks, such as market risk. Investing in ETFs may bear indirect fees andexpenses charged by ETFs in addition to its direct fees and expenses, as well as indirectly bearing the principal risks of those ETFs. ETFs maytrade at a discount to their net asset value and are subject to the market fluctuations of their underlying investments. Investing incommodities can be volatile and can suffer from periods of prolonged decline in value and may not be suitable for all investors.

Index Performance is presented for illustrative purposes only and does not represent the performance of any specific investment product orportfolio. An investment cannot be made directly into anindex.

Alternative Investments may have complex terms and features that are not easily understood and are not suitable for all investors. Youshould conduct your own due diligence to ensure you understand the features of the product before investing. Alternative investmentstrategies may employ a variety of hedging techniques and non-traditional instruments such as inverse and leveraged products. Certainhedging techniques include matched combinations that neutralize or offset individual risks such as merger arbitrage, long/short equity,convertible bond arbitrage and fixed-income arbitrage. Leveraged products are those that employ financial derivatives and debt to try toachieve a multiple (for example two or three times) of the return or inverse return of a stated index or benchmark over the course of a singleday. Inverse products utilize short selling, derivatives trading, and other leveraged investment techniques, such as futures trading to achievetheir objectives, mainly to track the inverse of their benchmarks. As with all investments, there is no assurance that any investment strategieswill achieve theirobjectives or protect against losses.

Neither Envestnet, Envestnet|PMC™ nor its representatives render tax, accounting or legal advice. Any tax statements contained herein arenot intended or written to be used, and cannot be used, for the purpose of avoiding U.S. federal, state, or local tax penalties. Taxpayersshould always seek advice based on their own particularcircumstances from anindependent tax advisor. SR# 1511068 .© 2020 Envestnet Asset Management, Inc. All rights reserved.

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