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Market Outlooks
Why There’s Little Cushion to Absorb an Oil Shock
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Beyond the human tragedy unfolding in Israel, we acknowledge the risk of escalation in the region and what it could mean for oil prices.
Policy and Regulatory Commentary
The CFPB Moves on Open Banking
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The Consumer Financial Protection Bureau (CFPB) released its regulation implementing Section 1033 of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010.
Market Outlooks
Treasury Yields Decline While Equities Gain, Investors to Monitor Potential for Broadening Middle East Conflict
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A slide in Treasury yields marks a reversal from the upward trend. A broadening the Israel-Hamas war may shock the global oil supply.
Market Outlooks
October Webinar: What’s the Market Missing?
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Geopolitical tension in the Middle East with the potential of setting off an oil crisis, plus rising interest rates and U.S. government disarray may impact strategic and tactical portfolio considerations for investors.
Market Outlooks
Investment Perspective: All About Rates
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Increasing rates, potential oil disruptions from Middle East tensions, and continuing economic uncertainty, may contribute to market volatility.
Market Outlooks
The Puzzle of the Equity Market’s Reaction to Rising Rates
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Equity index multiples have barely budged with rising interest rates, but rates still are driving returns in most individual stocks. Deputy CIO and CIO of Global Equities Michael Hunstad, Ph.D., examines why this may be happening.
Market Outlooks
How an Escalation of War in Israel May Impact Markets
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Beyond the considerable human toll the war in Israel has already taken, an escalation of the conflict could disrupt the world’s energy supply, damage global economic growth and spark market volatility. Chief Investment Strategist for EMEA and APAC Wouter Sturkenboom, CFA, outlines some scenarios.
Market Outlooks
What’s Behind the Ascent of Long-Term Bond Yields?
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Long-term bond yields have risen about 1.5% over the past six months, including an acceleration in recent weeks that caused equities to stumble. Chief Investment Strategist for North America Chris Shipley explains why the Federal Reserve and inflation likely aren’t to blame higher yields this time.
Market Outlooks
The High Probability of Recession in Europe Likely Will Burden Equities
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Higher interest rates, rising energy prices and plummeting credit are likely pushing the European economy into recession. Chief Investment Strategist for EMEA and APAC Wouter Sturkenboom, CFA, analyzes the global forces affecting Europe and explains how we’re positioned in our portfolios.
Policy and Regulatory Commentary
Primary Debates Past and Present
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With apologies for being the bearer of bad news, the 2024 election is upon us. Officially. Tonight marks the first Republican primary debate of the presidential election cycle...
Market Outlooks
MarketScape: How to Reconcile Dueling Outlooks for U.S. Earnings
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Amid dueling forecasts, we anticipate a slight adjustment in the U.S. equity margins. Gain clarity from Deputy CIO and CIO of Global Equities Michael Hunstad, Ph.D. as he discusses current conditions.