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Already vulnerable, the 60/40 appears deeply challenged

The 60/40 had its worst quarter since the pandemic started. Our chart looks at quarterly returns and why the coming quarters could remain volatile.

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.

Amid a low global rate environment, strong demand keeps U.S. rates in check

See how both sluggish economic growth and very low interest rates abroad are impacting U.S. rates.

Amid dismal EPS estimates, signs of a rally gone too far?

Stocks rallied too far, too fast? Our chart looks at 2020’s deeply negative earnings picture and why investors may want to insure against further volatility.

Amid low rates, CLOs appear attractive

Relative value in the fixed income market? This week’s chart compares CLO spreads to those of HY bonds and explores how to delve into this market.

Amid mixed sentiment and rising risks, stocks plow ahead

Contrarian bull/bear signals? Our chart on the mismatch between stock performance and sentiment shows why investors may want to prepare for a pullback.

Amid recent market retreat, return expectations plunge.

Have bears taken over the market? This week’s chart looks at the roller-coaster ride for investor sentiment this year.

Amid rising inflation, a fixed income gap grows

As U.S. inflation spikes and rates rise, fixed income returns have diverged. Our chart looks at the gap between core fixed income and credit.

An age-old tale: The veteran vs. the newcomer

Learn key differences between two real estate loan structures, including how each has held up during COVID-19.
Showing 71–80 out of 983 results

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