Inflation, monetary policy, and the Russia-Ukraine war are the major issues buffeting the stock market, day in and day out. Here’s how to trade. Read More
Stock Market Investing
Rising consumer prices aren’t just abstract statistics. They’re causing widespread human misery and, as such, weighing on equities. Read More
The latest consumer price index (CPI) report came in hot. We reiterate a method for hedging your portfolio against the ravages of inflation. Read More
April has started on a down note, as the U.S. central bank more aggressively tightens. But we don’t necessarily face a recession. Read More
For the financial markets, monetary policy supersedes all other news. Here’s a look at how the U.S. central bank is affecting your portfolio. Read More
Accelerating economic headwinds could result in a full-blown recession. Here's how to protect your portfolio from a possible downturn. Read More
Many investors are concerned that central bank tightening will get more aggressive, but the level of analyst "buy" ratings remains high. Read More
Investors continue to get whipsawed by the news from Ukraine. Alleged Russian war atrocities are the latest headwinds for equities. Read More
As Q2 gets underway, investors face war, rising rates, and inflation. Will stocks surmount these negative factors and resume their ascent? Read More
The big investment story right now is oil and gas. In this interview, we tap the expertise of a veteran of the energy industry. Read More