The stock market has entered the ‘danger zone.’ How one strategist recommends piloting around it.
The next few weeks are likely to be volatile, prompting more risk asset weakness Source link Jamie Chisholm
The next few weeks are likely to be volatile, prompting more risk asset weakness Source link Jamie Chisholm
Expect more equity and bond market volatility in early 2025, says Evercore ISI Source link Jamie Chisholm
Exposure to crypto, Musk and defense is bolstering this ETF Source link Jamie Chisholm
Why Cathie Wood may have the best fund to play Trump 2.0 Read More »
Rate cuts are expected but some analysts disagree with the market on how big one will be. Source link Jamie Chisholm
There are pockets of the market very vulnerable to a dip in risk appetite, says Vanda Research Source link Jamie Chisholm
The price Paris must pay to sell its debt rose early Wednesday ahead of a no-confidence vote on the government expected Wednesday Source link Jamie Chisholm
French bond yields rise as traders await no-confidence vote on government Read More »
French sovereign bonds rose, though the yield spread with Germany still traded near the widest since the European debt crisis Source link Jamie Chisholm
French bond yield spread to Germany near 12-year high a day ahead of vote on government Read More »
Risks that sparked equity sell-offs will linger in 2025, says Deutsche Bank Source link Jamie Chisholm
The stock market overcame these 3 problems in 2024. Next year it may not be so lucky. Read More »
Borrowing costs for France have hit a 12-year high relative to Germany, and were more than those of Greece for the first time ever Source link Jamie Chisholm
Rate-cutting central banks and more AI-related spending should support U.S. stocks Source link Jamie Chisholm