Survive and prosper in a bear market July 13, 2022 - Bear markets make even the savviest investors nervous because they are accompanied by heightened uncertainty about the future. Yet a quick review of history reminds us that drawdowns are a normal part of investing.
CC&L Private Capital's second-quarter financial market summary and outlook July 07, 2022 - It has been a difficult quarter and year for markets. Economic headwinds, high inflation and tighter financial conditions are leading to a slowdown in growth.
Green light for hydrogen investing June 29, 2022 - The movement away from fossil fuels and towards cleaner, renewable energy will transform the global economy over the next several decades.
Rates are rising: what does this mean for your portfolio? May 30, 2022 - Uncertainty is higher now than earlier in the recovery, and investors are anxious about rate increases’ timing, magnitude and knock-on economic effects.
Weekly Markets Roundup - Bond market is tightening before the Fed does September 11, 2026 The US Fed is running out of reasons to wait before increasing interest rates, and a hike could be less threatening to longer-term bonds than a decision to hold.
Weekly Markets Roundup - The same megatrends are lifting bond yields and earnings September 04, 2026 Long-term interest rates moved higher again this week even though the Federal Reserve (Fed) is increasingly likely to remain on hold this year.