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Inflation wreaks havoc on traditional assets

Amid another record CPI print, this week’s chart looks at the S&P 500 and the Agg’s historical returns during periods of elevated inflation.

The 60/40 starts 2022 in the red

This week’s chart looks at the monthly returns on the 60/40 portfolio, which declined in January and faces a murky outlook in 2022.

Balance returning after a decade of U.S. outperformance?

The investment opportunity set has changed in 2022. This week’s chart looks at signs of balance between U.S. and international stocks.

Suburban dominance grows amid evolving CRE market

CRE prices have rallied, yet the urban-suburban divide has grown. This week’s chart looks at the widening gap throughout the pandemic.

For core fixed income, a difficult run gets worse

Long-duration fixed income has had a tough start to the year. This week’s chart looks at its declining monthly returns as rates have risen.

Opportunity for alts as sentiment turns south?

This week’s chart looks at sustained bearish market sentiment, which recently hit a milestone. Contrarian indicator or more volatility ahead?

A challenging tightrope walk for the Fed gets harder

Financial conditions and markets have danced closely together this year. This week’s chart looks at why their latest move may be problematic for the Fed.

Stock-bond correlation could remain elevated in 2023

As inflation moderates to a still-elevated level, this week's chart looks at stock-bond correlations across different inflation environments.

The Agg is no longer balancing equity volatility

As rates keep rising, this week’s chart looks at the 60/40’s historically poor performance, as the Agg has not balanced stocks’ negative returns.

As inflation cools, macro alarms sound anew

The 10Y–2Y yield curve inverted to its deepest level in 40 years. This week’s chart looks at the yield curve over time as macro risks remain prominent.
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