WEEK ENDING 5/20/2022 (CUMULATIVE TOTAL RETURNS)
Equities1 Week YTD 1-Year Close
S&P 500 -3.00% -17.7% -4.9% 3,901
DJIA -2.78% -13.3% -6.5% 31,262
NASDAQ -3.77% -27.2% -15.5% 11,355
Russell 2000 -1.05% -20.7% -18.8% 1,773
Foreign Stock 1.53% -14.1% -12.0%
Emerging Markets 3.13% -15.3% -20.1%
Top Three S&P 500 Equity Sectors1 YTD
Energy 48.9%
Utilities 1.0%
Health Care -7.5%
Bottom Three S&P 500 Equity Sectors1 YTD
Consumer Discretionary -31.6%
Communication Services -27.3%
Information Technology -24.9%
Bonds2 Week YTD 1-Year Yield
10-Yr. Treasury 1.34% -10.4% -8.2% 2.79%
US Bonds 0.59% -9.2% -8.1% 3.42%
Global Bonds 0.99% -11.3% -13.0% 2.57%
Munis3 -0.02% -10.2% -9.3% 3.42%
Market Indicators4 As of
Fed Funds Target 1.00% 5/20/2022
Inflation (Core CPI) 6.20% 4/30/2022
Unemployment 3.60% 4/30/2022
GDP -1.40% 3/31/2022