The Independent Market Observer

Brad McMillan, CFA®, CFP®

Brad McMillan, CFA®, CFP®, is managing principal, wealth management, and chief investment officer at Commonwealth. As CIO, Brad chairs the investment committee and is a spokesperson for Commonwealth’s investment divisions. Brad received his BA from Dartmouth College, an MS from MIT, and an MS from Boston College. He has worked as a real estate developer, consultant, and lender; as an investment analyst, manager, and consultant; and as a start-up executive. His professional qualifications include designated membership in the Appraisal Institute, the CFA Institute, and the CAIA Association. He also is a CERTIFIED FINANCIAL PLANNER™ practitioner. Brad speaks around the country on investment issues and writes for industry publications, as well as for this blog.
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Recent Posts

Where Does the U.S. Fit in the European Mess?

February 17, 2015

I’m writing this in response to a comment on an earlier post about Europe, which essentially asked: Where does the U.S. fit in all this? A good question, and one that demands a further look.

Right now, the U.S. is in the process of trying to bang heads together to get a settlement between Greece (and the rest of the Southern European countries) and Germany (and the rest of the Northern European countries).

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Appearance on Opening Bell with Maria Bartiromo, February 12, 2015 [Video]

February 13, 2015

In case you missed it, I was in studio for Fox Business's Opening Bell with Maria Bartiromo on Thursday, February 12. We covered a lot of ground, including retail sales and employment, developments in the EU with Greece, and the U.S. markets.

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The Outside View: The U.S. Economy

February 12, 2015

After analyzing China, Japan, Brazil, and other economic powers around the world, we come at last to the U.S. An outside view is particularly useful here. As citizens, we tend to think we know all the details, and so we're all the more likely to be caught up in an inside view.

The benefit of looking at the other countries first is that we now have some context for judging where we stand and what that might mean. 

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The Outside View: Russia

February 11, 2015

As I mentioned yesterday, Russia’s economy basically doesn’t work without oil. Today we’ll take a deeper look at that problem, along with the potential consequences as Russia attempts to deal with it.

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Where the Real Risks Are: Europe and Russia

February 10, 2015

I wrote yesterday about what I see as the two major domestic risks to the U.S. economic recovery, neither of which is worth worrying about too much. The two immediate risks we should be thinking about originate outside the U.S.: the standoff between Germany and Greece, and the confrontation between Europe and Russia.

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Two Economic Risks for the U.S.

February 9, 2015

As I mentioned in my post about the latest employment numbers, I’ve been focusing quite a bit on all of the good things happening for the U.S. economy. But that doesn't mean I'm not paying attention to potential threats. 

Let’s take a look at a couple of economic risks the U.S. faces.

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Another Great Employment Report, But Can It Be Trusted?

February 6, 2015

When I give talks or interviews, I’m often perceived as bullish on the U.S. recovery. In my own view, though, I’m neither bullish nor bearish, but simply driven by the data.

Others see it differently, especially when it comes to the employment story. Just this past week, the chairman of Gallup wrote a column titled “The Big Lie: 5.6% Unemployment.” After seeing that piece, several readers reached out to question what they see as my optimism, asking, in effect, Really? Can things really be that good?

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The Outside View: India

February 5, 2015

As we discussed yesterday, Brazil is different from the developed economies in Europe, Japan, and even China, and it presents a different kind of opportunity for investors. With an economy halfway between those of Brazil and China, and a set of advantages that both other countries lack, India is potentially an even more interesting opportunity.

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The Outside View: Brazil

February 4, 2015

Since it's a fairly quiet news day, I want to return to our "outside view" series on countries that matter around the world. So far, we’ve considered China, Europe, and Japan, but today we’ll shift gears and look at a very different country, Brazil.

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Market Thoughts for February 2015 [Video]

February 4, 2015

In my latest Market Thoughts video, I discuss the ongoing U.S. economic recovery, the difficult month U.S. financial markets just experienced, and changes in the global markets.

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