Europe's Debt Crisis, U.S. Markets, Strategy

Europe's Debt Crisis, U.S. Markets, Strategy Play

Nov. 4 (Bloomberg) -- Michael Vogelzang, chief investment officer at Boston Advisors LLC, talks about the impact of Europe's sovereign debt crisis on U.S. financial markets and his investment strategy. Stocks, commodities and the euro rose, while Treasuries slid, as Greece moved closer to accepting a bailout and the European Central Bank cut interest rates to bolster economies reeling from the debt crisis. Vogelzang speaks with Susan Li on Bloomberg Television's "First Up." (Source: Bloomberg)

  • On Air Now

    Money Clip Watch Now

  • Next

    Charlie Rose

(enter your email)
(enter up to 5 email addresses, separated by commas)

Max 250 characters

blog comments powered by Disqus