Midyear Fixed Income, Currency, and Commodity Markets Outlook: Higher for Longer
LPL Research provides its midyear bond and commodity market outlook on interest rates, Federal Reserve rate cuts, gold, the U.S. dollar, and much more.
July 28, 2025
Prepare, Don’t Predict: Building Resilient Portfolios with Private Credit
For decades, investors climbed the 60/40 ladder with confidence. Now, every step feels less steady. High inflation that refuses to budge, interest rates that won’t come down anytime soon, and the growing correlation between stocks and bonds...
Midyear Outlook 2025: Pragmatic Optimism, Measured Expectations
by LPL Research Recently, the LPL Research team published the 2025 Midyear Outlook: Pragmatic Optimism, Measured Expectations. A…
July 10, 2025
Why Long-Term Investing Beats Selling in Volatile Times
by George Smith, Portfolio Strategist, LPL Research During times like these when geopolitical headlines can be unsettling for…
June 25, 2025
Independent Power Producers in an Electricity Bull Market
by Thomas Shipp, Head of Equity Research, LPL Research Rising Utility: Independent Power Producers in an Electricity Bull…
June 15, 2025
Tariffs and Market Volatility Likely to Stick
by Adam Turnquist, Jeffrey Roach, Jeffrey Buchbinder, Lawrence Gillum, LPL Financial LPL Research discusses recent tariff news, what…
June 4, 2025
Where Have All the (Duration) Buyers Gone?
by Lawrence Gillum, Chief Fixed Income Strategist, LPL Research It has seemingly been a one-way move higher in…
June 1, 2025
Sell in May and Go Away?
by Adam Turnquist, Chief Technical Strategist, and Jeffrey Buchbinder, Chief Equity Strategist, LPL Financial The S&P 500 ended…
May 11, 2025
April Showers, May Flowers: Is the Proverb Correct?
by Jeffrey Buchbinder, Chief Equity Strategist & Team, LPL Financial Additional content provided by Brian Booe, Associate Analyst,…
April 29, 2025
Credit Spreads: Recession Indicator or Market Correction?
by Lawrence Gillum, CFA, Chief Fixed Income Strategist, LPL Research Additional content provided by Kent Cullinane, Analyst, Research.…
March 19, 2025
Market Correction Perspective: Is Selling Nearly Over?
by Adam Turnquist, Chief Technical Strategist, and Jeffrey Buchbinder, Chief Equity Strategist, LPL Financial LPL Research explores the market…
March 18, 2025
Navigating Strategic and Tactical Investment Horizons: The Differences
LPL Research discusses the distinct nature of investment horizons and examines when and why strategic and tactical perspectives…
March 12, 2025
Strategic Asset Allocation 2025: A 3-to-5-Year Perspective of Markets
by George Smith, Portfolio Strategist, LPL Research As we move deeper into 2025, LPL Research's Strategic and Tactical…
February 20, 2025
How Tariffs Impact Credit Markets
by Lawrence Gillum, CFA, Chief Fixed Income Strategist, LPL Research Additional content provided by Colby Hesson, Analyst, Research.…
February 18, 2025