Markets Current information, trends and viewpoints across the ever-shifting landscape of financial markets worldwide. Mainstream Expectations Are Optimistic—But the Real Risk Is Being Ignored Energy Stocks Surge While Oil Stumbles: Are Investors Getting Ahead of Themselves? Do Sentiment Trends Boost Reflation Odds How To Thrive in a Market Where Bulls and Bears Could Both Be Right After a Volatile 2025, the Dollar Faces Another Tug-Of-War Lower Mortgage Rates Face a Structural Ceiling The Most Overlooked Threat to Investment Returns: Risk “Screw You Guys, I’m Going Home”: Navigating Market Chaos in 2026 Concentration Risk Isn’t the Threat Investors Think It Is Akademiker Pension Serves The US a Warning Style Rotations Are Speeding Up—Is Your Core Equity Portfolio Ready? Kevin Warsh at the Fed: What Markets Should Expect Money Supply Isn’t Out of Control — But These Market Risks Are Real The Market’s Bull Run Isn’t Over—It’s Rotating Tech Is Back in Charge—TSM’s $56B Signal Explains Today’s Market Mood A Quiet CPI Print Won’t Move the Fed—Here’s Why Policy Is Likely on Hold Into 2026 AI Is Reshaping Work — Why Free Money Won’t Save the Economy Cooling Inflation, Softer Real Spending, and a Surging Silver Price—Bubble or Signal? The 11 Market Themes Set To Shape 2026 Rotation, Not Breakdown: Why Gold and Silver Trends Remain Bullish Fed Independence at Risk? Markets React as DOJ Targets Jerome Powell Wall Street Is Bullish on 2026 Earnings—but History Warns Caution The Biggest Investor Lessons of 2025 for 2026 Boring Jobs Data, Rising Market Risk: Why Stagnation Matters More Than a Recession Wall Street Shrugs at the Jobs Report—but the Options Market Tells a Deeper Story U.S. Detains Venezuela’s President: Geopolitical Shockwaves and What It Means for Markets Protecting Purchasing Power: A Practical Guide To Investing During Inflation Wall Street Has a Number for 2026. We Have 14 Better Questions. The Two Signals That Matter Most for Stocks in 2026 Precious Metals Aren’t Predicting Economic Collapse Market Outlook for 2026: Positioning Portfolios for What Comes Next AI Chip Wars: How Nvidia Navigates Cash, Partnerships, and Global Competition A Smarter Way To Navigate Market Volatility: Asset Allocation, Discipline, and Risk Control Year-End Crosscurrents: Stocks Dip, Volatility Ticks Up, and Hedging Returns A Narrow Market, Loud Narratives, and a Quiet Lesson for 2026 Investors The Market Risk In 2026 If Growth Projections Fail The Santa Claus Rally Begins Stocks, Bonds, and Gold: 3 Key Themes That Could Define 2026 Investing Why the Magnificent-7 Are Losing Their Edge—and Who Could Replace Them No More Rate Cuts? Why ECB Policy Could Cap the Fed—and Reshape 2026 Returns Is the Market Ready for a 2026 Correction? What Wall Street Isn’t Telling You M&A Is Back: Why 2025’s Surge in Deal Activity Could Set up Another Strong Year in 2026 The Fed Says “Soft Landing.” The Data Isn’t So Sure. CPI Surprises: Stocks Soar—but Is the Rally Fragile? The Inflation Alarmists Are Wrong: Why Debt, Deficits, and Demographics Keep Prices in Check The Fed Just Restarted QE. Here’s What the Data Says Will Move Next The Fed Chair Horse Race Tightens: Trump, the Two Kevins, and What Bond Yields Are Pricing In Schwab Smartly Eschews Prediction Markets Embrace Hassett vs. Warsh: Why Rising Yields Forced Trump To Reopen the Fed Chair Race Why Bull Markets Make Smart Investors Do Stupid Things Trending Your Most Agreeable Clients May Trust You the Least The AI Bear Case Has Three Arguments. Only Two Hold Up. Record Convertible Issuance Is Creating New Opportunities for Investors Own Your Marketing or Keep Renting Your Growth We're So Busy Spotting AI That We're Missing the Message Strong Earnings May Not Be as Strong as They Appear Why Non-Attachment Is the Most Underrated Skill in Financial Advisory Sales 2026 Elections Matter. What Follows Matters More. ⇤ « 1 2 3 4 (current) 5 6 7 » ⇥ 4 / 91