The 60/40 rule is a fundamental tenet of investing. It says you should aim to keep 60% of your holdings in stocks, and 40% in ...
Big changes are coming in the next Trump administration. But your investing plans needn’t change, our columnist says.
Credit markets face challenges, but opportunities exist in corporate bonds and cheap optionality.
Investors sold U.S. Treasuries, partly on the expectation that higher tariffs would inevitably filter through to consumer ...
S&P 500’s current market cap is two sectors - tech and financials - and 66% is 4 sectors. Credit spreads are nearing all-time ...
Each sector reacted differently based on policy shift expectations.
U.S. stocks ended lower on Monday, as investors await the too-close-to-call presidential election on Tuesday. The Dow Jones ...
Therefore, inflation fears and the recent rise in bond yields are way overdone. The Fed cut rates by 25bp, and both the statement and press conference were in line with expectations. Chair Powell ...
The dollar surged against the Mexican peso and the Chinese yuan, two key trading partners. It's also up against the yen and the euro.