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Inflation expectations have kept the Federal Reserve center stage as they commenced their interest rate rising cycle in March. The war in Ukraine and Omicron’s spread in China impacted inflation and supply chains differently, but both delay supply chain normalization. Regar...
Pick any barometer of costs these days, and the story is the same: Prices are up - and in a dramatic fashion. The first thing that jumps out is the dismal performance of most asset classes during periods of low growth and high inflation - otherwise known as stagflation. A solid fo...
Emerging Markets are outperforming the rest of the world, due in large part to windfall profits in the commodities-exporting countries of South America and the Middle East. If you want to follow the money, this is a good place to start. Money has been flowing out of tech, consumer dis...
Larger companies have the advantage of scale, pricing power, greater ability to pass on higher costs to consumers, and stronger negotiating power with suppliers to name a few. Net profit will be an area looked at closely given the potential for multiple Fed rate hikes which will incre...
Canada sheds 200,000 jobs in January amid omicron wave. U.S. consumer prices rise at fastest rate in 40 years. Are brighter days ahead for U.S. small cap stocks? For further details see: Red-Hot: U.S. Inflation Surges At Blistering Pace
While US large caps have also struggled lately, they’ve fared far better than their smaller counterparts. Over the past year, much of the Russell 1000’s outperformance is attributable to its bigger exposures to technology and consumer discretionary industries. The sm...
There’s an important disconnect between stocks and bonds today. Specially, I am looking at two fundamental indicators for evaluating long-term interest rates. The first is the performance of small cap stocks relative to large caps. Typically, this ratio has moved in concert wit...
S&P 500 returns in the last decade were significantly above their long-term historical averages. But the combination of rising yields and high valuations will suppress further price increases in the next couple of years. The analysis of historical return patterns suggests that...
Understand how investors can manage risk through the use of different exchange-traded funds. Lean about AllianzIM ETFs: (AZAJ), (AZAA), (AZAL), (AZAO), (SIXO), (AZBJ), (AZBA), (AZBL), and (AZBO). Johan Grahn, Head of ETFs at Allianz Investment Management speaks on how to manage ri...
While the market started the week a bit sloppily, the bulls charged back on Thursday as earnings season officially got underway. With the market crossing above significant resistance at the 50-DMA and turning both seasonal “buy signals” confirmed, it appears a push for p...
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AllianzIM U.S. Large Cap Buffer20 Oct Company Name:
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Reset offers new opportunity for investors to gain exposure with a level of risk mitigation and stay invested even during volatile markets Allianz Investment Management LLC (AllianzIM), a wholly-owned subsidiary of Allianz Life Insurance Company of North America (Allianz Lif...
ETF offers new entry point and potential for enhanced risk mitigation amid market uncertainty Allianz Investment Management LLC (AllianzIM), a wholly owned subsidiary of Allianz Life Insurance Company of North America (Allianz Life ® ), today launched a new buffered...