Showing 1131–1140 out of 1738 results
Meet the new Fed policy: Low interest rates for years to come
Read an analysis of the Fed’s framework review announcement, and what it means for investors now and moving forward
Tech powered the S&P 500 to a new high. What’s next?
Stocks’ astounding rally has been fueled by the tech sector. Our chart looks at tech’s concentration in the S&P 500 and what it means for investors.
Rates, edging higher, could put bond returns at risk
With inflation stirring, rates caught investors’ attention this week. Our chart looks at the tough position rising rates could put bond investors in.
The calm before the (next) storm?
Options markets suggest investors shouldn’t forget about defensive investments.
Economic activity and volatility both slow. But for how long?
Economic activity has slowed recently, and so has market volatility. Our chart examines this relationship and asks how much longer it can last.
Credit market commentary: July 2020
The recovery in markets continued in July as optimism surrounding reopening and further stimulus measures outweighed fears of rising cases. HY Bonds and Senior Secured Loans returned 4.78% and 1.96%, respectively. Interest rates fell steadily throughout the month, boosting the duration-sensitive Barclays Agg, which returned 1.25%.
Energy market commentary: July 2020
The rebound in energy markets has sputtered over the past two months. Global crude production is likely to increase in the coming months, which could test oil prices previously stabilized by unprecedented supply cuts.
Slowing recovery presents challenges, highlights opportunities
Markets have traded sideways for much of the past 6 weeks after racing back in late March. Our chart looks at what slowing momentum may mean for investors.
Showing 1131–1140 out of 1738 results