Bonds and the stock market are interconnected, influencing each other. They impact an investor's risk exposure and returns. During stock market volatility, investors often turn to bonds for safety, ...
Bonds play an important role in many portfolios by providing income, helping to manage volatility, and adding diversification ...
Bonds are a key component for a robust asset allocation strategy, but the asset class isn’t immune to sharp drawdowns. In the worst-case scenario, bonds and stocks suffer sharp and simultaneous ...
Heading into the final stretches of 2025, the run-of-the-mill balanced portfolio of 60% stocks and 40% bonds is capping a pretty good year – up roughly 11%, going by a very simple 60% in the S&P 500 ...
Stocks and bonds initially rallied after the central bank cut interest rates on Sept. 17, but began giving up those gains before Federal Reserve Chair Jerome Powell started his post-meeting press ...
Stock and bond funds with lower fees are outperforming their more expensive category peers, according to new research from Morningstar. Over the past decade, the return difference between the cheapest ...
The reactions from the stock and bond markets Wednesday afternoon showed that investors are being forward-looking, according to Chris Zaccarelli, chief investment officer at Northlight Asset ...
The stock market’s rally took a pause after four straight days of gains as Wall Street reassessed its rosy predictions on interest-rate cuts. The S&P 500 ended the day flat. Dow was down 0.2%, or 74 ...
China’s stock and bond markets are decoupling, breaking the inverse correlation where debt traditionally rises when equities fall, as bets on monetary easing take a backseat. For the first time since ...