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Sort by: Newest | Oldest | Relevance 31/40 of about 117 Results While tariffs remain a concern, the key issue is the degree—which we deem moderate—of U.S. recession risk. The current global backdrop makes the U.S. dollar unlikely to strengthen. Earnings growth expectations are modest, valuations are undemanding This weekly update provides a snapshot of changes in the economy and markets and their implications for investors. Volatility Assumptions This bulletin, written by Dr. David Kelly, addresses the impact that deflationary fears have had on the Fed's decision to postpone rate hikes. Pension funds can build better portfolios by adopting strategies used by insurers Assessing the impact and possible evolution of Fed policy Canadian and Australian equities offer defensive, income-producing opportunities, and can help diversify exposure to larger stock markets such as those of the U.S. and Europe. This bulletin recaps the second quarter earnings season and discusses the outlook for earnings for the rest of 2016. This bulletin discusses the implications of negative interest rate policy The contribution of fiscal policy to global growth is poised to rise, what does this mean for our global economic outlook and portfolio positioning?
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