Fear returned to the financial market this week as investors worried that a March 1 trade deadline for the U.S. and China wouldn’t be met. This resulted in a spike in stock market volatility and a pullback in the major U.S. averages. While many participants fear a worst-case scenario, the bond market is sending a bullish message for the financial market outlook. We’ll take a look at these positive aspects in today’s commentary.
After Thursday’s stock market slide based on renewed trade tariff fears, investors were left wondering if another major plunge in the S&P