This week, we tackle the primary factors driving sovereign yields higher – and the implications of those developments for the economy and investors....
The Q2 earnings report season is nearly complete and it’s been nothing short of a barnburner....
Global trade has become an increasingly hot button issue in recent years after significant supply chain vulnerabilities were exposed by a combination of unusual economic events and shifting geopolitical priorities....
The equal-weighted S&P 500 index and the S&P/TSX both hit new highs this week....
Investors are entering the Q2 reporting season buoyed by lofty expectations rooted in unexpectedly robust Q1 results....
This week, we delve into the many ways the stock and bond markets have evolved to provide enhanced breadth, depth and adaptability for an ever-widening circle of participants....
In recent years, the global order has rearranged itself on a number of fronts. Some shifts have been subtle and cumulative....
Equity and fixed income markets navigated a minefield of potentially damaging disruptions during the second quarter before ending on solid footing....
Trade uncertainty in North America is here to stay for a while....