Recession Isn't the Biggest Risk for Markets, Boivin Says As global economies navigate the complex currents of post-pandemic recovery, investors are constantly assessing risk factors that could impact their portfolios. Amidst fears of economic downturns and tightening monetary policies,...
Strategist: 'Wishful Thinking' to Expect a Rebound for U.S. Stocks in the Second Half of 2025 As we venture further into 2024, questions about the future trajectory of U.S. stock markets loom large. Market analysts and strategists have long been tasked with predicting trends, navigating...
Title: Navigating the Horizon: Neuberger Berman’s Joe Amato on the Era of 'Peak Uncertainty' in Policy Outcomes In a world increasingly defined by volatility and unpredictability, investment strategies must evolve in tandem with the shifting political landscape. Joe Amato, Chief Investment...
Can Markets Rely on Rate Cuts in 2025? In the ever-evolving landscape of global finance, the prospect of interest rate adjustments is a topic that always garners significant attention among investors, economists, and policymakers alike. As we look towards 2025, the question of whether...
Understanding the Economic Landscape: Insights from Lakshman Achuthan on Why the U.S. Economy is Slowing, NOT Crashing As the world grapples with the complex dynamics of economic fluctuations, Lakshman Achuthan, co-founder of the Economic Cycle Research Institute (ECRI), stands out as a...