facebook twitter instagram linkedin google youtube vimeo tumblr yelp rss email podcast phone blog search brokercheck brokercheck Play Pause

From Our Point of View

Weekly Market Recap: Tech Sector Shines Amid Rate Jitters and Commodity Weakness Thumbnail

Weekly Market Recap: Tech Sector Shines Amid Rate Jitters and Commodity Weakness

This week's market recap highlights mixed performance in U.S. equities, with tech stocks leading the way while rising interest rates weighed on small caps and energy sectors. International markets struggled amid a stronger dollar, and commodities saw notable declines. Key economic data and Federal Reserve insights suggest cautious optimism ahead.

Read More
Weekly Market Recap: Record Highs in U.S. Equities, Easing Inflation Signals, and Upcoming Economic Data Thumbnail

Weekly Market Recap: Record Highs in U.S. Equities, Easing Inflation Signals, and Upcoming Economic Data

U.S. equities reached new record highs, driven by strong performances in technology and real estate sectors. International markets also saw gains, particularly in China and Japan. The latest inflation report suggested easing pressures, prompting speculation about potential rate cuts. Key economic data releases in the upcoming week will provide further insights into market trends and Federal Reserve policy direction.

Read More
Weekly Market Recap: Resilience Amid Mixed Signals Thumbnail

Weekly Market Recap: Resilience Amid Mixed Signals

Amidst mixed signals, U.S. equities extended gains for the third consecutive week, buoyed by a blend of earnings reports. Value stocks outpaced growth counterparts, with utilities rallying 4% on AI-driven power demand. International markets saw Europe counteracting weakness in Japan, while emerging markets experienced a slight slowdown. The bond market remained flat, with solid demand indicated by Treasury auctions. Looking ahead, investors are focused on key economic data releases and central bank speeches.

Read More
Markets in April 2024 Thumbnail

Markets in April 2024

April saw a challenging landscape for both equity and fixed income markets, with the S&P 500 down 4.1% amid concerns over persistent inflation. Despite a slowdown in Q1 GDP growth, strong consumer demand and robust corporate earnings have tempered fears of stagflation. However, risks loom, including inflationary pressures, stretched valuations, and geopolitical tensions. Amidst this backdrop, strategic portfolio adjustments have been made to capitalize on market volatility while maintaining a focus on long-term growth.

Read More