Investors are ‘desperate’ for a recession that forces the Fed to cut interest rates but what happens to markets if the economy remains healthy?

As 2023 progresses the markets are clinging to the expectation that the US economy will enter…

Why stock-market investors fear ‘something else will break’ as Fed attacks inflation

Some investors fear the Federal Reserve is over-tightening monetary policy in its bid to tame hot…

The silver lining of this year’s stock and bond bear markets

Sometimes less can be more. Just take what happened to annuity rates during this year’s stock…

Opinion: The downfall of Liz Truss — can it help your portfolio?

UK government bond rates fell. The FTSE250 MCX UK Small and Medium Business Index, a good…

BDT to Merge With MSD Partners, Form New Investment and Advisory Firm

An investment firm that grew out of Michael Dell‘s Family Office merges with a merchant bank…

The U.S. dollar continues to soar: What that means for the stock market and investors

Amid all the wild volatility of 2022, there’s one thing investors can still count on: the…

Philip Morris to Raise Offer for Swedish Match and Buy U.S. Rights for IQOS

Philip Morris’ original bid for Swedish Match in May was 161.2 billion Swedish kronor, which was…

Stock-market selloff may mean another 20% drop for S&P 500, says Wall Street veteran

““I generally believe that interest rates will continue to rise and that inflation will not fall…

Why stock market investors should wait for the 10-year Treasury to ‘blink’

When a key part of the U.S. bond market begins to dismiss fresh Federal Reserve rate…

One of Wall Street’s most vocal bulls is scaling back his bullish calls on stocks and trimming risk in his bank’s model portfolio. Here’s why.

JPMorgan Chase & Co.’s chief markets strategist Marko Kolanovic is de-risking the bank’s model portfolio this…