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Dawn of a New Era for Bonds | Weekly Market Commentary | May 23, 2022

Dawn of a New Era for Bonds | Weekly Market Commentary | May 23, 2022

by lpladvisorsadmin | May 27, 2022 | Research, Weekly Market Commentary

Core bond investors have experienced the worst start to the year ever. However tough this year has been so far though (and it has been tough), the potential for future returns has improved meaningfully, in our view. Starting yields tend to be a good predictor of...
Corporate America Delivers | Weekly Market Commentary | May 16, 2022

Corporate America Delivers | Weekly Market Commentary | May 16, 2022

by lpladvisorsadmin | May 18, 2022 | Research, Weekly Market Commentary

First quarter earnings season was solid by just about any measure, but based on recent market behavior it’s obvious that in general market participants paid little attention. This is a macro-driven market, so it will likely take positive macro developments, i.e.,...
Client Letter | Volatility Continues | May 11, 2022

Client Letter | Volatility Continues | May 11, 2022

by lpladvisorsadmin | May 12, 2022 | Client Letter, Research

2022 has been a challenging year for investors so far. The S&P 500 Index just had one of its worst Aprils in decades, and May is off to a rocky start. Bond investors have not fared much better as rising interest rates have pushed down bond prices. Bond losses...
Have We Really Seen Extreme Pessimism Yet? | Weekly Market Commentary | May 9, 2022

Have We Really Seen Extreme Pessimism Yet? | Weekly Market Commentary | May 9, 2022

by lpladvisorsadmin | May 10, 2022 | Research, Weekly Market Commentary

It’s been a very tough start to the year with both stocks and bonds down sharply. Adding to the “wall of worry” for investors are the highest levels of U.S. inflation in decades, an aggressive Federal Reserve (Fed), Chinese lockdowns, and continuing war in Europe. So...
Global Portfolio Strategy | May 4, 2022

Global Portfolio Strategy | May 4, 2022

by lpladvisorsadmin | May 9, 2022 | Global Portfolio Strategy, Research

Key changes from April report: No changes Stocks resumed their downward trajectory from earlier in the year as the S&P 500 Index slipped 8.8% in April, the worst April for the index since 1970. The loss, driven primarily by inflation and Federal Reserve rate hike...
« Older Entries
  • Finding Value Among the Muni Market Malaise | Weekly Market Commentary | May 5, 2025
  • Softer Tone on China Is Encouraging, but Some Caution Still Advised | Weekly Market Commentary | April 28, 2025
  • Revising Our S&P 500 Target Amid a Storm of Uncertainty | Weekly Market Commentary | April 21, 2025
  • Decent Chance Stock Market Bottom Is in but Far From Certain | Weekly Market Commentary | April 14, 2025
  • Tariff Turmoil: Where Do We Go From Here? | Weekly Market Commentary | April 7, 2025

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