Showing 61 to 72 of 144 results


Trump's Tariffs Trigger Global Market Crash
Aggressive trade policies by Donald Trump caused a global market crash starting Thursday, impacting stocks, cryptocurrencies, and bonds, with losses exceeding 10% in several Asian markets and significant drops in European and American markets. This is described as the first self-inflicted market cri...
Trump's Tariffs Trigger Global Market Crash
Aggressive trade policies by Donald Trump caused a global market crash starting Thursday, impacting stocks, cryptocurrencies, and bonds, with losses exceeding 10% in several Asian markets and significant drops in European and American markets. This is described as the first self-inflicted market cri...
Progress
44% Bias Score


Trump Tariffs Spark Market Plunge; Experts Advise Diversification and Cautious Spending
President Trump's tariffs triggered a 6% drop in the S&P 500, prompting financial experts to advise Americans on diversification, strategic stock purchases during market dips, and cautious spending. The advice includes considering international equities, high-quality bonds, and adjusting retirement ...
Trump Tariffs Spark Market Plunge; Experts Advise Diversification and Cautious Spending
President Trump's tariffs triggered a 6% drop in the S&P 500, prompting financial experts to advise Americans on diversification, strategic stock purchases during market dips, and cautious spending. The advice includes considering international equities, high-quality bonds, and adjusting retirement ...
Progress
44% Bias Score


Fidelity Fund Manager's Winning Strategy and Future Outlook
Maxime Lemieux's Fidelity True North Fund outperformed the S&P/TSX Composite Total Return Index since 2009 using a long-term strategy focused on quality companies, diversification, and risk management, including investments in small- and mid-cap stocks and gold, while acknowledging risks from global...
Fidelity Fund Manager's Winning Strategy and Future Outlook
Maxime Lemieux's Fidelity True North Fund outperformed the S&P/TSX Composite Total Return Index since 2009 using a long-term strategy focused on quality companies, diversification, and risk management, including investments in small- and mid-cap stocks and gold, while acknowledging risks from global...
Progress
36% Bias Score


Investment Strategies Amidst Trade War and Interest Rate Fluctuations
A financial advisor answers reader questions about investment strategies amid the US-China trade war and fluctuating interest rates, recommending diversified portfolios, hedging against currency risks, and adjusting asset allocation based on risk tolerance and economic uncertainty.
Investment Strategies Amidst Trade War and Interest Rate Fluctuations
A financial advisor answers reader questions about investment strategies amid the US-China trade war and fluctuating interest rates, recommending diversified portfolios, hedging against currency risks, and adjusting asset allocation based on risk tolerance and economic uncertainty.
Progress
52% Bias Score


MSCI World ETF Remains Recommended Despite US Market Volatility
Stiftung Warentest Finanzen recommends MSCI World ETFs for long-term investment despite criticism about its 75% US stock concentration; alternatives like MSCI World ex USA and MSCI World Equal Weighted are presented, though with lower past returns compared to MSCI World's 12% average annual return o...
MSCI World ETF Remains Recommended Despite US Market Volatility
Stiftung Warentest Finanzen recommends MSCI World ETFs for long-term investment despite criticism about its 75% US stock concentration; alternatives like MSCI World ex USA and MSCI World Equal Weighted are presented, though with lower past returns compared to MSCI World's 12% average annual return o...
Progress
36% Bias Score


Market Volatility Expected to Continue, Portfolio Manager Favors Long-Term Dividend Growth
iA Global Asset Management's Daneshvar Rohinton expects market volatility to continue, citing trade disputes and mixed AI results. He favors dividend-paying stocks with long-term growth prospects, recently selling Elevance Health and buying UnitedHealth Group, reflecting his focus on management qual...
Market Volatility Expected to Continue, Portfolio Manager Favors Long-Term Dividend Growth
iA Global Asset Management's Daneshvar Rohinton expects market volatility to continue, citing trade disputes and mixed AI results. He favors dividend-paying stocks with long-term growth prospects, recently selling Elevance Health and buying UnitedHealth Group, reflecting his focus on management qual...
Progress
40% Bias Score

Trump Tariffs Trigger Market Volatility, 40% Recession Risk Predicted
Trump's tariffs are causing significant market volatility, with a 40% recession risk predicted within a year. Financial experts advise diversification, suggesting cautious stock market entry for uninvested individuals and emphasizing less tariff-exposed sectors like utilities and pharmaceuticals.

Trump Tariffs Trigger Market Volatility, 40% Recession Risk Predicted
Trump's tariffs are causing significant market volatility, with a 40% recession risk predicted within a year. Financial experts advise diversification, suggesting cautious stock market entry for uninvested individuals and emphasizing less tariff-exposed sectors like utilities and pharmaceuticals.
Progress
40% Bias Score

US Economy Shows Resilience Amidst Negative Investor Sentiment
The US economy shows resilience despite negative investor sentiment; inflation is below 3%, corporate earnings exceed historical trends, and consumer spending is rising, creating a potential buying opportunity.

US Economy Shows Resilience Amidst Negative Investor Sentiment
The US economy shows resilience despite negative investor sentiment; inflation is below 3%, corporate earnings exceed historical trends, and consumer spending is rising, creating a potential buying opportunity.
Progress
56% Bias Score

Market Volatility Driven by Geopolitical Risks and Economic Headwinds
High market volatility, driven by geopolitical risks and economic concerns, is prompting financial advisors to adjust strategies, emphasizing passive income and risk management, while educating clients on navigating market uncertainty.

Market Volatility Driven by Geopolitical Risks and Economic Headwinds
High market volatility, driven by geopolitical risks and economic concerns, is prompting financial advisors to adjust strategies, emphasizing passive income and risk management, while educating clients on navigating market uncertainty.
Progress
44% Bias Score

Top Trending Canadian Stocks Identified by Trading Central's Quantamental Factor Methodology
Trading Central's analysis reveals Lundin Gold Inc. (LUG-T) as the top-performing Canadian stock, with a 38.4% year-to-date gain, exceeding the S&P/TSX Composite Index's 1.14% growth, driven by strong momentum and growth ratings; other top performers include Kinross Gold and Great-West Lifeco.

Top Trending Canadian Stocks Identified by Trading Central's Quantamental Factor Methodology
Trading Central's analysis reveals Lundin Gold Inc. (LUG-T) as the top-performing Canadian stock, with a 38.4% year-to-date gain, exceeding the S&P/TSX Composite Index's 1.14% growth, driven by strong momentum and growth ratings; other top performers include Kinross Gold and Great-West Lifeco.
Progress
24% Bias Score

Buffer ETFs See \$2.5 Billion Inflow Amidst Market Volatility
Amidst a volatile U.S. stock market downturn, investors have channeled \$2.5 billion into buffer ETFs in the past month, seeking protection against losses, driven by uncertainty and a desire for stability, with financial advisors increasingly recommending them as a risk management tool.

Buffer ETFs See \$2.5 Billion Inflow Amidst Market Volatility
Amidst a volatile U.S. stock market downturn, investors have channeled \$2.5 billion into buffer ETFs in the past month, seeking protection against losses, driven by uncertainty and a desire for stability, with financial advisors increasingly recommending them as a risk management tool.
Progress
44% Bias Score

VIX Volatility, Market Uncertainty, and Investment Opportunities
The VIX volatility index increased from 15 to 25 in a month due to the Trump administration's fluctuating announcements, impacting the market; Generali Asset Management favors peripheral bonds while L&G highlights opportunities in resilient companies and thematic ETFs, and CNP Vita Assicura emphasiz...

VIX Volatility, Market Uncertainty, and Investment Opportunities
The VIX volatility index increased from 15 to 25 in a month due to the Trump administration's fluctuating announcements, impacting the market; Generali Asset Management favors peripheral bonds while L&G highlights opportunities in resilient companies and thematic ETFs, and CNP Vita Assicura emphasiz...
Progress
44% Bias Score
Showing 61 to 72 of 144 results