Section
Stocks
3528 posts
The Iran-Israel Conflict And The Likely Impact On The Market
by Lance Roberts, RIA The Iran-Israel conflict and equity markets are now in sharp focus. As direct strikes…
June 18, 2025
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...
Navigating geopolitical volatility in the Middle East
With the escalation of military conflict between Israel and Iran, investors are guardedly watching the events, which still have the potential to spread, impact Mideast energy supplies, and increase global economic uncertainty. To address those concerns, Lawrence Hatheway, Global Investment Strategist at Franklin Templeton Institute, moderated a discussion with some of our investment professionals with expertise in the region to hear their thoughts on possible effects on global financial markets.
June 18, 2025
Space Stock Liftoff: MDA Rockets Back Into Favor With Parabolic Surge
Momentum, money flows, and tech innovation collide as this Canadian space company eyes new all-time highs.
June 18, 2025
Putting markets into perspective as Middle East tensions escalate
by Invesco Global Market Strategy Office Key takeaways Market movements - A significant escalation in the Israel-Iran conflict…
June 17, 2025
Jurrien Timmer: Wherever you go, There you are (6/16/25)
by Jurrien Timmer, Director of Global Macro for Fidelity Management & Research Company Wherever You Go, There You…
June 17, 2025
From Rangebound to Rocket Fuel: Imperial Oil’s 26% Surge Signals Major Breakout
by SIACharts.com After channeling in a defined trading range over the past several years, shares of Imperial Oil…
June 17, 2025
Midyear insights: Opportunities amid globalization’s discontents
As US exceptionalism faces growing scrutiny, investors have increasingly sought portfolio diversification with international exposure. This recalibration raises the critical question of which economies and regions may be best positioned to thrive under our new tariff landscape. Franklin Templeton ETFs’ Dina Ting offers some insights for the second half of the year.
June 12, 2025
2025 midyear investment outlook: The global reset
by Invesco Global Market Strategy Office Key takeaways Continued uncertainty - We’re wary about precise estimates of where tariff…
June 12, 2025
Mid-Year Outlook: International Stocks and Economy
by Jeffrey Kleintop & Heather O' Leary, Charles Schwab & Company Ltd. Investors may revisit international exposure in…
June 9, 2025
The Exceptional Case of U.S. Markets Underperformance
With global headlines bouncing between trade tensions, inflation worries, and surprise economic data, it’s getting harder for investors…
June 7, 2025
New catalysts spur international stocks
by Gerald du Manoir, Samir Parekh, Steve Caruthers, Capital Group For the first time in many years, the…
June 4, 2025
Confusing Correlations: What’s Really Behind Them?
by Laura Fried, Macro Portfolio Research Strategist, Multi-Asset, Neuberger Berman In recent weeks we’ve witnessed extreme (and at…
June 1, 2025
Private Market Values in Energy
by Cole Smead, CFA, CEO, Smead Capital Management Dear fellow investors, The investors of Smead Capital Management believe,…
May 28, 2025