Entering the fourth quarter of 2018, most asset classes except for domestic stocks have delivered poor performance…
Read MoreMarkets remained volatile during the second quarter, with mixed performance across asset classes leading to lower returns in most market-segments than investors have come to expect…
Read MoreThe most notable characteristics of the first quarter of 2018 were the return of stock market volatility and the continuing rise in bond yields.
Read MoreOver the last two weeks, all major US and international equity indexes have declined by more than 5% from their most-recent highs.
Read MoreDouble-digit broad stock market returns with no down months and record-low volatility.
Read MoreMost market segments ended the 2nd quarter of 2017 higher than they began it, both domestically and globally...
Read MoreThe first quarter was by most measures a continuation of the trends that took hold after the presidential election in November of last year.
Read MoreMidway through the first quarter and a month into the Trump presidency, equity markets (both domestic and international) have continued barreling upward...
Read More2016 was a very eventful year for markets, and looking forward we see no shortage of catalysts for a dynamic 2017 to follow.
Read MoreMarket levels increased broadly during the 3rd quarter of 2016.
Read MoreAfter a relatively calm few months, markets were shocked near the end of the 2nd quarter by the U.K.’s vote to exit the European Union.
Read MoreThe government of the United Kingdom announced early Friday morning that its citizens had voted to leave the European Union.
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