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Market Outlooks
Weekly Market Update: Global Stocks Decline as Some U.S. Regional Banks Falter, U.S. Inflation Report Scheduled This Week
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Bank unease resurfaced again last week. U.S. inflation is expected to be flat, while core inflation may fall slightly.
Market Outlooks
Investment Perspective: Approaching Stall Speed
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We favor high yield bonds and natural resource stocks as inflation still shows persistence, earnings expectations deteriorate and worries mount over a stalling U.S. economy.
Market Outlooks
Volatility Faded in April, Fed and ECB Expected to Hike Rates This Week
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Market volatility declined in April as fears about the banking sector subsided. The Fed and ECB likely will look to balance inflation and economic concerns with rate moves.
Market Outlooks
Investors See Fed Rate Increase in May, U.K. to Report Inflation This Week
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A strong U.S. jobs report sparked expectations of a more likely 0.25% Fed rate hike in May. The U.K.’s inflation is expected to remain high.
On-Demand Webcast: What’s the Market Missing?
After a turbulent March fraught with uncertainty over the banking sector and interest rates, investors now face even greater complexity as they position portfolios.
Market Outlooks
Investment Perspective: Signs of Stress
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Equity markets have shown resilience, and we believe it will continue to do so, through market stress triggered by the collapse of Silicon Valley Bank.
Market Outlooks
Weekly Market Update: Global Stocks Rise on Response to Banking Concerns, Inflation Reports Set for Europe and U.S. This Week
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Non-U.S. stocks led the rise, Treasury yields fell. European monetary policymakers expected to watch closely core inflation, which excludes food and energy prices.