Global Portfolio Strategy | Solid September, But Shutdown Clouds Start of October | October 7, 2025
Despite historical weakness in September, the S&P 500 was tracking above bullish targets, emerging markets showed renewed strength, and the […]
Despite historical weakness in September, the S&P 500 was tracking above bullish targets, emerging markets showed renewed strength, and the […]
LPL Research explores whether investment-grade corporate bonds can rival U.S. Treasuries as the new risk-free asset amid rising national debt
LPL addresses the U.S. government shutdown, its historical market impact, and the broader economic outlook. Despite near-term volatility, strong fundamentals,
LPL Research examines whether attractive valuations and technical strength in international equities can overcome weak growth, innovation, and earnings. Source:
LPL Research analyzes recent market performance as Fed expectations, strong economic data, government shutdown concerns and more continue to have
LPL Research examines the potential effects of recent Fed actions. Source: WEEKLY COMMENTARY
Weekly Market Commentary | The Intersection of Political Uncertainty and Global Debt Markets | September 15, 2025 Source: WEEKLY COMMENTARY
LPL Research recaps a month of continued S&P 500 strength, reasons for a likely Fed rate cut, and small cap
LPL sees bull market strength as stocks follow recovery trends, with AI growth, Fed cuts, and economic resilience driving upside.