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Markets Adjust to Higher Rates
Major equity indices ended the week lower amid fear of rising yields. The S&P index lost 2.7%, while the MSCI… Read more
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Optimism Despite Hurdles
U.S. equity markets had another strong week despite a more hawkish central bank. The S&P 500 index gained 1.8%; the… Read more
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The War’s Effect on Global Markets
Only a couple of months ago, investors were focused on hoping for an end for the pandemic, now all headlines… Read more
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CPI Report and Geopolitical Risk
U.S. Equity markets had another volatile week amid continued concerns over the Federal Reserve’s hawkish policy and geopolitical risk in… Read more
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End of the “Pandemic Trade”?
All major U.S. equity indices dropped last week as interest rate hike fears, Russian-Ukraine tension, and mixed earning results weighed… Read more
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The Fed and the Job Report
U.S. equity markets retreated last week as investors weighed the impact of higher rates on stock valuations. The S&P 500… Read more
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Heightened Volatility
Market volatility surged last week due to the new coronavirus variant, Fed’s hawkish tilt, and the mixed results from Friday’s… Read more
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Is Inflation Here to Stay?
U.S. equities retreated last week on concerns over persistent inflation. Dragged by a steep fall in Tesla, consumer discretionary shares… Read more
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Central Banks Shifting Tones
After the busiest week of earnings season, most equity indices reached new highs. The S&P 500 index gained 1.3%, the… Read more
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Earnings and Inflation
Equity markets marked record highs again last week, after a sharp selloff on Monday amid fears of the delta variant…. Read more