Showing 13 to 24 of 47 results


US Economic Uncertainty Impacts Global Investment Strategies
Following Trump's January inauguration, concerns over US economic stagnation and rising debt—nearing 130% of GDP—led to a Moody's credit rating downgrade and influenced investment strategies, with some favoring European assets over US equities and bonds.
US Economic Uncertainty Impacts Global Investment Strategies
Following Trump's January inauguration, concerns over US economic stagnation and rising debt—nearing 130% of GDP—led to a Moody's credit rating downgrade and influenced investment strategies, with some favoring European assets over US equities and bonds.
Progress
44% Bias Score


Six Top Fixed-Income ETFs for Diversified Portfolios
Six fixed-income ETFs—SPDR Portfolio Intermediate Term Corporate Bond ETF (SPIB), VanEck IG Floating Rate ETF (FLTR), iShares 3-7 Year Treasury Bond ETF (IEI), Janus Henderson AAA CLO ETF (JAAA), Eaton Vance Short Duration Income ETF (EVSD), and iShares CMBS ETF (CMBS)—are recommended for diversific...
Six Top Fixed-Income ETFs for Diversified Portfolios
Six fixed-income ETFs—SPDR Portfolio Intermediate Term Corporate Bond ETF (SPIB), VanEck IG Floating Rate ETF (FLTR), iShares 3-7 Year Treasury Bond ETF (IEI), Janus Henderson AAA CLO ETF (JAAA), Eaton Vance Short Duration Income ETF (EVSD), and iShares CMBS ETF (CMBS)—are recommended for diversific...
Progress
40% Bias Score


Trump's Hostility Triggers Record Foreign Investment Exodus from Canadian Stock Market
A record $35 billion in foreign investment was withdrawn from the Canadian stock market in the first quarter of 2024 due to the Trump administration's hostile trade policies towards Canada; however, the Toronto Stock Exchange remained relatively stable due to increased domestic investment.
Trump's Hostility Triggers Record Foreign Investment Exodus from Canadian Stock Market
A record $35 billion in foreign investment was withdrawn from the Canadian stock market in the first quarter of 2024 due to the Trump administration's hostile trade policies towards Canada; however, the Toronto Stock Exchange remained relatively stable due to increased domestic investment.
Progress
40% Bias Score


Global Vision Raises 1M-400M Rubles in Rapid DFA Sale
Global Vision Holding in Samara, Russia, launched digital financial assets (DFAs) on April 29, 2025, raising between 1,000,000 and 400,000,000 rubles in four hours, offering a 28% annual interest rate to fund a Chelyabinsk development project.
Global Vision Raises 1M-400M Rubles in Rapid DFA Sale
Global Vision Holding in Samara, Russia, launched digital financial assets (DFAs) on April 29, 2025, raising between 1,000,000 and 400,000,000 rubles in four hours, offering a 28% annual interest rate to fund a Chelyabinsk development project.
Progress
52% Bias Score


Global Trade War Triggers Market Downturn, Fed Prioritizes Inflation
The ongoing global trade war, marked by a 22% US tariff rate (highest since 1910), has led to a 16% drop in the S&P 500 and a 10% fall in the dollar, impacting investors globally, while the Fed prioritizes inflation control.
Global Trade War Triggers Market Downturn, Fed Prioritizes Inflation
The ongoing global trade war, marked by a 22% US tariff rate (highest since 1910), has led to a 16% drop in the S&P 500 and a 10% fall in the dollar, impacting investors globally, while the Fed prioritizes inflation control.
Progress
44% Bias Score


ASX Plunge Highlights Need for Diversified Investments
The Australian Securities Exchange (ASX) experienced a 4 percent drop on Monday, reminding investors of the non-linear nature of sharemarket gains and the importance of diversification, with fixed-income investments like bonds offering a potential hedge against volatility.
ASX Plunge Highlights Need for Diversified Investments
The Australian Securities Exchange (ASX) experienced a 4 percent drop on Monday, reminding investors of the non-linear nature of sharemarket gains and the importance of diversification, with fixed-income investments like bonds offering a potential hedge against volatility.
Progress
48% Bias Score

Germany to Issue Billions in Bonds to Finance Spending Plans
The German government will borrow billions of euros through bond sales managed by Finanzagentur GmbH to finance a new aid package, with institutional investors within the EU and EEA participating in auctions requiring a minimum of one million euros; private investors can trade on exchanges.

Germany to Issue Billions in Bonds to Finance Spending Plans
The German government will borrow billions of euros through bond sales managed by Finanzagentur GmbH to finance a new aid package, with institutional investors within the EU and EEA participating in auctions requiring a minimum of one million euros; private investors can trade on exchanges.
Progress
40% Bias Score

Limitations of Traditional Portfolio Diversification Highlighted by 2022 Market Downturn
The 2022 market downturn exposed the limitations of traditional portfolio diversification strategies relying heavily on bonds, prompting experts to advocate for broader diversification including alternative investments like private equity, real estate, and a more active rebalancing approach.

Limitations of Traditional Portfolio Diversification Highlighted by 2022 Market Downturn
The 2022 market downturn exposed the limitations of traditional portfolio diversification strategies relying heavily on bonds, prompting experts to advocate for broader diversification including alternative investments like private equity, real estate, and a more active rebalancing approach.
Progress
40% Bias Score

Diversification Benefits Revealed Amid April 2024 Market Volatility
Despite April 2024's stock market volatility driven by US-China trade tensions, the S&P 500 remained flat, while corporate bonds, especially within closed-end funds like PGIM Global High Yield Fund (GHY) with a 9.7% yield, significantly outperformed, highlighting the benefits of diversification for ...

Diversification Benefits Revealed Amid April 2024 Market Volatility
Despite April 2024's stock market volatility driven by US-China trade tensions, the S&P 500 remained flat, while corporate bonds, especially within closed-end funds like PGIM Global High Yield Fund (GHY) with a 9.7% yield, significantly outperformed, highlighting the benefits of diversification for ...
Progress
48% Bias Score

Fed Rate Hikes Trigger Global Market Uncertainty
The U.S. Federal Reserve's interest rate hikes, a significant departure from previous policies, are causing global market uncertainty as investors reassess risk and diversification strategies amid rising default rates and scrutiny of U.S. Treasury bonds.

Fed Rate Hikes Trigger Global Market Uncertainty
The U.S. Federal Reserve's interest rate hikes, a significant departure from previous policies, are causing global market uncertainty as investors reassess risk and diversification strategies amid rising default rates and scrutiny of U.S. Treasury bonds.
Progress
52% Bias Score

Trump's Trade War and Powell Clash Trigger Market Turmoil
Monday's financial market turmoil, triggered by President Trump's trade war and confrontation with Federal Reserve Chairman Powell, sent stocks lower, bond yields higher, and the dollar to a multiyear low, while gold and bitcoin surged as investors sought safe havens.

Trump's Trade War and Powell Clash Trigger Market Turmoil
Monday's financial market turmoil, triggered by President Trump's trade war and confrontation with Federal Reserve Chairman Powell, sent stocks lower, bond yields higher, and the dollar to a multiyear low, while gold and bitcoin surged as investors sought safe havens.
Progress
52% Bias Score

Bessent's Rate Strategy Drives Bond Market Opportunity
Treasury Secretary Scott Bessent's focus on lowering the 10-year Treasury yield, through tariffs, drilling, and deregulation, is now the primary driver of interest rate movements, creating an opportunity for bond investors in funds like the Doubleline Yield Opportunities Fund (DLY), which offers an ...

Bessent's Rate Strategy Drives Bond Market Opportunity
Treasury Secretary Scott Bessent's focus on lowering the 10-year Treasury yield, through tariffs, drilling, and deregulation, is now the primary driver of interest rate movements, creating an opportunity for bond investors in funds like the Doubleline Yield Opportunities Fund (DLY), which offers an ...
Progress
56% Bias Score
Showing 13 to 24 of 47 results