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Capital Market Notes

General

  • March 11, 2023 – Some Perspective on Market Concerns over a top-20 U.S. Bank Failure
  • October 3, 2022 – Capital Markets Update and Focus on Bonds
  • June 13, 2022 – Perspective on Recent Global Stock and Bond Market Performance
  • October 8, 2018 – Recent Performance of Global Risk Assets / Strategy Review
  • February 5, 2018 – Perspective on this latest Global Stock Market Drop
  • April 7, 2016 – 1st Quarter Review and Strategy Update
  • January 9, 2016 – Year End Review and Strategy Update
  • November 15, 2015 – Modified Social Security Filing Methods
  • October 8, 2015 – 3rd Quarter Review and Strategy Update
  • August 23, 2015 – Summer Update – Focus on Risk Assets
  • July 8, 2015 – 2nd Quarter Review and Strategy Update
  • January 6, 2015 – Year End Review and Strategy Update
  • October 8, 2014 – 3rd Quarter Review and Strategy Update
  • July 8, 2014 – 2nd Quarter Review and Strategy Update
  • April 8, 2014 – 1st Quarter Review and Strategy Update
  • January 6, 2014 – Year End Review and Strategy Update
  • July 8, 2013 – 2nd Quarter Review and Strategy Update
  • April 8, 2013 – 1st Quarter Review and Strategy Update
  • January 6, 2013 – 4th Quarter Review and Strategy Update
  • December 13, 2012 – A Look at the Fiscal Cliff: Does it Mean Much for Investors?

Post-Financial Crisis (2011)

  • October 8, 2011 – When should we rebalance? Should we consider purchasing riskier bonds?
  • August 7, 2011 – Perspective on ratings downgrade of US debt
  • March 6, 2011 – Comment on “Smart” Asset Allocation article, James Glassman, The Washington Post, March 5, 2011

During Financial Crisis

  • May 6, 2010 – Some Perspective on a tumultuous day
  • March 20, 2009 – Market “Snapshot”, Perspective, and Political Risk
  • February 20, 2009 – DJIA Back to November 20th Low – What’s Different?
  • November 23, 2008 – Weekend Update – Citigroup, TARP, and the FDIC
  • November 17, 2008 – Perspective, Policy Responses, and Investment Implications
  • September 14, 2008 – Lessons from Freddie Mac and Fannie Mae
  • September 7, 2008 – US “Takeover” of Fannie Mae and Freddie Mac
  • April 7, 2008 – Update on our Passive, Asset Class Balanced Strategy

As Financial Crisis Began

  • August 21, 2007 – A Crisis of Confidence in Money Markets
  • August 6, 2007 – Repricing Risk Due to Sub-Prime Mortgages and Leverage Loans

Prior to Financial Crisis

  • April 25, 2007 – Some Perspective on “Dow over 13,000”
  • June 14, 2006 – 23-day drop in Stocks and Commodities
  • February 10, 2006 – “CNBC is selling advertising, not dispensing investment advice”

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