Gary Gordon
Gary Gordon (RSS)
President, Pacific Park Financial

Gary A. Gordon, MS, CFP® is the president of Pacific Park Financial, Inc., a Registered Investment Adviser with the SEC. He has more than 24 years of experience as a personal coach in “money matters,” including risk assessment, small business development and portfolio management.

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Recent Articles

5 Economic Charts Help Investors Understand Trump and Sanders

Mar. 5, 2016, 9:05 am EDT – Investors should be capable of asking a very simple question: If the domestic economy is performing admirably, why are Americans fed up with politicians? More 

Underweight or Overweight: Here’s Our New Allocation to Stocks

Mar. 2, 2016, 1:00 pm EDT – Some are interpreting recent bounces off S&P 500 lows as a sign that all's right with stocks again. Here's where are model portfolio stands on the news More 

Are Stocks Cheap Now? Get GAAP If You Want To Get Real

Mar. 1, 2016, 11:30 am EDT – In the 1980s and 90's corporations reported quarterly results that corresponded to GAAP. Here's why the change to non-GAAP is important for investors More 

Financial Stress Index Is Screaming, “Bear Market Rally”

Feb. 23, 2016, 11:37 am EDT – The measurable level of stress in the financial system is extensive. Here is what you can do today in your portfolio to mitigate the risks More 

What Negative Interest Rates Tell You About The Risk-Reward Backdrop

Feb. 22, 2016, 11:05 am EDT – When a country's central bank reduces its interests rates below zero the action should boost the relative appeal of stocks. At least that's the theory... More 

What Should You Do In The Next Bear Market Rally?

Feb. 16, 2016, 10:08 am EDT – Bull markets have corrections, and bear markets have rallies. Here is how we'll allocate our holdings into the next, inevitable, bear rally More 

Unemployment at 19%? Your Asset Allocation Should Reflect Reality

Feb. 11, 2016, 11:30 am EDT – A realistic look at the unemployment picture in the US suggests that investors look to their portfolios' asset allocations and make changes as necessary More 

If Investors Get More Stimulus, Will They Take More Risk?

Feb. 6, 2016, 9:00 am EDT – The U.S. economy continues to show signs of frailty, with little sign of a change for the future. Here are the charts you need to see today... More 

An Allocation Strategy For the Corporate Debt Hangover

Jan. 29, 2016, 1:09 pm EDT – Are corporations in great shape? Three consecutive quarters of declines in earnings and record high leverage suggest not. Here's our strategy More 

5 Misunderstandings About The Current Investing Environment

Jan. 28, 2016, 10:00 am EDT – Many analysts believed the end of QE and the Fed rate hike wouldn't effect risk assets. Here is why they continue to be wrong... More