Markets Current information, trends and viewpoints across the ever-shifting landscape of financial markets worldwide. Retail Sales Hit a 22-Month Low—What It Means for the Economy Is Retail Euphoria a Warning Sign? Market Correction Ahead? Did Tariffs and Taxes Hurt or Help Profits in 2018? Why Tariffs Aren't as Bearish as Expected: A Surprising Outlook CPI Spikes Higher Than Forecast—What It Means for You Truflation Signals a CPI Drop Ahead — Here’s What to Expect Bull Bear Report: The Latest Technical Analysis for Investors Is Bessent Aligning with Yellen’s Playbook? China's Potential Countermeasures Amid Escalating U.S. Trade Tensions Forecasting Error Puts Fed on Wrong Side Again Trump Administration to Focus On 10-Year, Not Fed Where Does Money Come From? Market Optimism Soars Amidst Looming Risks: What Investors Should Know January 2025 Financial Markets: Meeting or Falling Short of Expectations? Interest Rates in 2025: 7 Key Factors Influencing the Future Should You Invest Now? Evaluating the Current Stock Market Uncertainty Tariffs Roil Markets More About Moats: Do They Still Protect Businesses? U.S. Economy Ends 2024 on a High Note: What’s Next? Post-Election Market Surge: Analyzing Investor Optimism Under Trump's New Policies Tariffs' Impact on Mexico and Canada: Economic Consequences Explored How New Administration Policies Are Impacting All-Time Market Highs Why This Chart Could Spell Trouble for the Fed Why Corporate Buybacks Are Set to Hit $1 Trillion in 2025 Why Market Focus This Week Will Center on Guidance 4Q24 Earnings Preview: Insights to Watch This Season Money Supply, Deficits, and QE: Do They Really Drive Inflation? Riding the Tariff Rollercoaster: What It Means for Businesses and Consumers Blame Rising Premiums on Deficits, Inflation, and the Dollar Is the Market Overestimating Returns for 2025? CPI Analysis: Better Than Good or Just Average? Retail Sales and Jobless Claims Signal a Resilient U.S. Economy The Trump Bump and Dump: What It Means for Investors Bumpy Beginnings for 2025 Markets: What’s Next? Inflation: Myths vs. Market Reality The Real Power of Technical Analysis: Beyond the Myths Why Increasing Risks Call for a Bearish Stance Is Buffett Worried? Here's Why You Should Be Too Jobs, Stocks, and Bonds: Navigating the Market Maze U.S. Dollar Outlook: What’s Next in 2025? Weak Global Data Fuels a Surge in the US Dollar A Year of Divergence: Economic Growth, Policy Debates, and Market Trends in 2024 Portfolio Goals and the Psychology of Unkept Resolutions Trump Tariff Tensions Push European Stocks Into the Red Are Credit Spreads Flashing a Warning for Stock Investors? Tariffs? Investors Focus on NVDA’s Surge Instead “Curb Your Enthusiasm” to Investing in 2025 Why Corporate Executives Are Both Bullish and Bearish in 2025 Is the Market Poised for a Breadth Rotation? Global Rates: How High Real Policy Rates Could Lead to Strategic Cuts Trending The Power of the Obvious: Why Meeting Expectations Can Be a Surprising Delight Unlocking the Full Potential of Client Onboarding 4 Marketing Pitfalls Every Financial Advisor Must Avoid to Grow Why Consumers Aren’t as Gloomy as Headlines Suggest Congress in the Spotlight: Is America's Fiscal Credibility Fading? Understanding Strategy’s Capital Composition, Bitcoin Ties The 3 Drivers of Covered Call Fund Returns—And Why Total Return Is What Really Matters Getting Started With AI Automation in Wealth Management: A Strategic Roadmap ⇤ « 1 2 3 (current) 4 5 6 7 » ⇥ 3 / 84