LPL Research explores explores Q1 earnings season with S&P 500 earnings per share up nearly 7% despite a big loss from Bristol Myers Squibb. Read
How’s It Going? Depends on Who You Ask | Weekly Market Commentary | May 20, 2024
LPL Research explores the real estate market and an economy that is less sensitive to interest rate policy in a post-pandemic economy. Read the Full
Preferred Securities: Still Our Preferred Non-Core Bond Sector | Weekly Market Commentary | May 13, 2024
LPL Research explores the preferred securities market and how they may be an attractive option for income-oriented investors. Read the Full Story
Global Portfolio Strategy | April Setback as Rates Rise | May 6, 2024
LPL Research still favors U.S. equities even after April outperformance by international and emerging markets. Read the Full Story Here Author:
Sell in May? Maybe Not | Weekly Market Commentary | May 6, 2024
LPL Research explores the “Sell in May and Go Away†maxim and how stocks perform during prolonged Fed pause
Client Letter | Navigating May’s Stock Market Outlook | May 1, 2024
LPL Research highlights why the S&P 500 fell about 4 percent in April despite a strong first quarter and solid corporate earnings. Read the Full
That Was Quite a Week | Weekly Market Commentary | April 29, 2024
LPL explores what first quarter GDP, the Fed’s preferred inflation measure, and a barrage of earnings news mean for the Fed and
The Ever-Changing Market Narrative | Weekly Market Commentary | April 22, 2024
LPL Research examines the return of market volatility as the narrative has shifted toward a higher for longer monetary policy backdrop. Read the Full
Revisiting Energy | Weekly Market Commentary | April 15, 2024
LPL explores the energy space, highlighting oil’s geopolitical risk amid an improving supply/demand backdrop, and how rate cuts