S&P 500 up 15%, bonds delivering 7%, international markets outperforming—2025 has been strong. Bull market now in year 4 with inflation cooling and Fed cutting
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Gold surged 60% past $4,300/ounce amid "debasement trade" fears. But inflation stays under 3% and bonds signal calm. Learn why gold belongs in portfolios
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Markets dropped 2.7% on China rare earth tensions—worst day since April. Yet S&P 500 still up 31.5% from lows with 30+ new records this year. Learn why
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Q3 delivered record highs with S&P 500 up 7.8% despite weak jobs data showing 911,000 fewer positions than reported. Shiller P/E at 38x near dot-com levels
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Markets hit records with Shiller P/E at 38x vs 27x average. Are we in an AI bubble like dot-com 2000? Learn why current valuations differ and how smart
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Markets reached record highs in August despite tariff disputes and Fed policy shifts. 81% of S&P 500 companies beat earnings expectations. Learn what strong
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Powell's Jackson Hole speech confirms September rate cuts. Bond markets show record confidence while credit spreads hit multi-year lows. Learn how declining
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Inflation at 2.7% plus tariff threats create silent wealth erosion. What cost $1 a century ago now costs $18. Learn proven strategies to protect your purchasing
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Mixed economic signals create investor confusion. Recent employment revisions spark data reliability questions. Learn how to build complete market views using
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Amidst market recovery, disciplined portfolio construction, not chasing winners, is key. Staying invested through cycles remains optimal for long-term financial
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Navigating the Second Half of 2025: Staying Focused on Your Financial Goals
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The U.S. credit downgrade reflects persistent concerns about the nation's fiscal future. The ongoing budget negotiations may further complicate these challenges
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