Section
Markets
26766 posts
Recession Risk In U.S. Rising But Still Low
by David Templeton, HORAN Capital Advisors From a business cycle perspective, Fidelity recently released a report that indicated…
Navigating Volatility: The Case for Tactical Alpha
In today's volatile markets, alternative investments are key for diversification, resilience, and returns, but they demand expertise to navigate. Ash Lawrence, Head of AGF Capital Partners and Scott Radke, CEO and Co-CIO of New Holland Capital discuss...
Risk Mitigation (Smead)
by William Smead, Smead Capital Management How did the job of an asset allocator move from seeking out…
Erin Botsford: How to Avoid the Biggest Fear of Retirees, Running Out of Money.
How to avoid the biggest fear of retirees, running out of money. Erin Botsford, financial planner and author…
Profit Motive: If Earnings/Margins Are Peaking, What About Stocks? (Sonders)
September 4, 2012 by Liz Ann Sonders, Senior Vice President, Chief Investment Strategist, Charles Schwab & Co., Inc.…
Tepper, QE, and “Priced In” (Tchir)
by Peter Tchir, TF Market Advisors This is one of the most memorable clips in recent years on…
Civility (Saut)
“Civility” by Jeffrey Saut, Chief Investment Strategist, Raymond James September 4, 2012 “Civility is the glue that holds…
The Latest ETF Eye Opener
The Latest ETF Eye-Opener by Frank Holmes, US Global Investors August 31, 2012 A few years ago, we…
Rethinking How We Invest (Columbia)
Rethinking How We Invest by Matt Scales, Columbia Management Building portfolios to meet individual objectives is or should…
Companies Lowering Earnings Guidance For Third Quarter
by David Templeton, CFA, Horan Capital In spite of the high level of negative earnings guidance issued by…
Back to Work (Sonders)
August 31, 2012 by Liz Ann Sonders Senior Vice President, Chief Investment Strategist, Charles Schwab & Co., Inc..…
The Case for Emerging Europe
The Case for Emerging Europe By Frank Holmes, CEO and Chief Investment Officer, uU.S. Global Investors If history…
U.S. Equity Market Radar (September 2, 2012)
U.S. Equity Market Radar (September 2, 2012) The S&P 500 Index fell 0.32 percent this week as economic…
The Economy and Bond Market Radar (September 2, 2012)
The Economy and Bond Market Radar (September 2, 2012) Treasury yields built on last week’s momentum and continued…
Gold Market Radar (September 2, 2012)
Gold Market Radar (September 2, 2012) For the week, spot gold closed at $1,692.01 up $21.46 per ounce,…
Energy and Natural Resources Market Radar (September 2, 2012)
Energy and Natural Resources Market Radar (September 2, 2012) Strengths The U.S. oil-rig count rose for the first…