LPL Research explores the market correction and why solid fundamentals should provide a backstop from a bear market. Read the Full Story
Client Letter | Navigating Market Volatility | March 12, 2025
LPL Research discusses strategies for weathering market volatility. Read the Full Story Here Author:
Global Portfolio Strategy | Mixed Market Messages | March 10, 2025
LPL Research downgrades the U.S. dollar from positive to neutral as sentiment was weighed down from multiple angles and tariff and trade uncertainty
Navigating Strategic and Tactical Investment Horizons: The Differences | Weekly Market Commentary | March 10, 2025
LPL Research discusses the distinct nature of investment horizons and examines when and why strategic and tactical perspectives may diverge. Read the
Client Letter | Tariff Transition | March 5, 2025
LPL Research discusses the U.S. economy's expected 2% growth, robust corporate earnings, and the impact of tariffs and AI on the market. Read the
Earnings Season Recap: Strong Growth, Big Upside, Now What? | Weekly Market Commentary | March 3, 2025
LPL Research provides a recap of fourth quarter earnings season and examines the feasibility of double-digit earnings growth in 2025. Read the Full
Refinancing ZIRP | Weekly Market Commentary | February 24, 2025
LPL Research discusses the U.S. federal debt, yields, and Treasury Bills as the U.S. Treasury market enters a transition period in 2025. Read the
Tariffs Ignite a Metals Melt-Up | Weekly Market Commentary | February 18, 2025
LPL Research explores the latest round of tariff news and why the metals market is heating up. Read the Full Story Here Author:
Global Portfolio Strategy | As Goes January, So Goes the Year? | February 10, 2025
The LPL Strategic and Tactical Asset Allocation Committee upgraded large growth and consumer discretionary, while downgrading small value and