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2023-05-10 00:30:00 ET Summary Waiting too long to shift cash into bonds can be costly. Bonds can be better diversifiers of equity risk post rate hikes. Quality stocks have been resilient through volatility and still captured upside. By Carolyn Barnette What&...
2023-05-08 07:00:00 ET Summary Although 2022 was not a good year for most investment asset classes, a recovery in equities actually began early in the fourth quarter of the year. Positive investment flows have occurred in fixed income as bond returns began to improve late last yea...
2023-05-05 02:00:00 ET Summary We believe this latest Fed hike may be the last hike of the current cycle. A slowing economy, moderating inflation and stress in the banking system support a Fed pause. But we expect the Fed to keep rates at current levels for an extended period as i...
2023-05-02 02:15:00 ET Summary Stock and bond markets ended the first quarter of 2023 with solid gains despite investor concerns. Gains in the stock and bond markets were primarily driven by a continued decline in interest rates, the rate of inflation, and surprisingly resilient e...
2023-04-21 17:34:00 ET Summary What can breakeven inflation rates tell us about oil prices, energy stocks, and market direction? It turns out it’s a lot more than you think. With employment back to pre-pandemic levels, the monetary impulse has reversed, the supply-demand im...
2023-04-21 08:20:00 ET Summary While U.S. growth has remained strong, even accelerating in early 1Q, leading indicators continue to signal recession. Tighter lending standards, as a result of the recent banking crisis, only increase the risk of a hard landing. Part of the inflatio...
2023-04-20 13:34:00 ET Summary The 60/40 stock/bond portfolio is the gold standard of portfolios. The math on the 40% slice is much cleaner. A bond aggregate is about a 5-year instrument in my All Duration model. In today’s environment, the aggregated components of a 60...
2023-04-20 02:54:00 ET Summary Managers have become less bearish on credit spreads with ~40% expecting spreads to be range-bound in the next 12 months. Inflation and the prospect of recession are the major concerns among managers. At the time of the survey close on Feb. 15, pa...
2023-04-10 03:30:00 ET Summary The U.S. economy is slowing. A major tightening of real estate lending is now unfolding. The biggest lesson from Kuroda's rein: No individual (or small group) should ever have such absolute power to inflate. April 7 - Bloomberg (Alexa...
2023-04-07 23:30:00 ET Summary The old investment playbook is out and a new regime that considers high inflation and interest rates is in. Recent events in the banking sector around SVB and Credit Suisse have made clear the importance of staying nimble as investors. Our expect...
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2024-06-07 17:02:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-04-17 18:32:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-03-18 22:34:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...