Financial analysis of election odds, bond prices, and economic trends under a Trump win or Republican/Democrat sweep.
Bond prices in China are increasingly being influenced by stock market flows, with a rush from fixed-income to equities ...
Traditional relationships between stocks, bonds, currencies and commodities like gold are breaking down once again in 2024.
For your asset allocation plan, incorporating low correlation into a diversified portfolio of stocks, bonds, cash and alternatives can help investors optimize their risk-adjusted returns further ...
Tesla's stock was falling 1.7% in recent trading toward a sixth straight loss, which would be the longest losing streak since the seven-day stretch that ended April 22. For those wondering it the ...
As Donald Trump's odds of clinching the White House increase, there is an emerging correlation with the markets.
It’s been a common and persistent claim in global financial markets for the last year or so that “bonds are back”!
In this edition we have a Goldman Sachs strategist, of all people, refuting some negative myths about passive investing and its effects on equity markets. Also, an analyst finds 45 million barrels of ...
Twelve Capital has analysed what it can mean for a traditional 60/40 stocks and bonds investment portfolio when catastrophe ...
The correlation between the United States and China assets used to be moderately correlated at around 0.3%. Nowadays, they barely correlate. However, with the recent uptick in China’s stock ...
Investors are selling yen and taking shelter in cash, India, pockets of China's markets and Singapore dollars ahead of a US ...
Investors are selling yen and taking shelter in cash, India, pockets of China’s markets and Singapore dollars ahead of a US ...