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60/40 portfolios soar in 2019. Are lower returns ahead?

Traditional stock and bond portfolios are soaring, but the return drivers seem to be running out of steam. Our chart explains what this could mean for investors in 2020.

Amid a deeper contraction in global trade, could market volatility pick up?

Headlines focus on the U.S. and China, but this week’s chart shows how contraction in trade globally could challenge investors.

Credit market commentary: November 2019

Leveraged credit rose in November, with loans outperforming HY Bonds. The duration-sensitive Barclays Agg was unable to recover from an early-month rate spike, ending down slightly on the month.

Energy market commentary: November 2019

Large-cap energy gained while the midstream sector sold off in November. Energy valuations appear relatively cheap heading into 2020.

Chief U.S. Economist Lara Rhame’s 10 for ’20

Lara’s Top 10 watchlist for the economy, markets and investing in 2020

Solid fundamentals continue to support commercial real estate market

Our chart of the week focuses on the attractiveness of commercial real estate investments amid sound fundamentals and slowing CRE price growth.

Earnings power: Equities face a challenged profit landscape

Corporate earnings have hit a snag and could inject volatility into markets going into 2020.

Bonds face shifting macro landscape amid equity volatility declines

See why investors seeking stable income may need to look outside of traditional fixed income markets to find it in today’s environment.

As corporate earnings decline, could stock returns falter?

Our chart of the week paints a sobering picture for equity investors as stocks reached an all-time high despite declining corporate earnings growth.
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