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Investment Perspectives

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S&P 500, Oil, & the Dollar (Excerpt)

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Since the start of the year, institutional investors seem to have stopped reacting to headline risk as quickly and intensely as they did since the start of the bull market.

Three Trends Will Shake American Businesses Out Of Paralysis

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On-shoring, energy infrastructure reinvestment and plant replacement are three trends in the making that will shake American business out of paralysis.

Old Acquaintances

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  The re-emergence of European risks and domestic fiscal policy uncertainty helped Treasuries post their strongest weekly performance since last November...

Political Change Brings New Optimism In Japan

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Having underperformed global developed equity markets by nearly nine percentage points in 2012, and having produced among the weakest rates of economic growth in the developed world for much longer...

Gasoline Prices Racing Toward Danger Zone

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Do you feel like you are paying too much for gasoline? At least you did not have to fill up for the Daytona 500.

Borrowing Costs

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According to Dan Fuss, the fixed-income market is more “overbought” than at any time in his 55-year career as he prepares to open a fund to British individual investors.

No Love For Bonds

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High-quality bonds remain unloved in financial markets in 2013.

Will 2013 Be The Year Of Biofuel?

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Since they went public in 2010, the performance of second-generation biofuel companies has been staggeringly poor. But there is hope on the horizon.

U.S. to “Win” Currency Wars?

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Currency Wars will most importantly play out at the heart of investors' portfolios rather than in the blogoshere or on TV.

Return Of The LBO

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Increasing merger and acquisition (M&A) activity, the threat of leveraged buy-outs (LBOs), and the risk they pose of removing cash safety nets while imposing more debt on corporate balance sheets has...

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