After reaching all-time highs in February, U.S. markets have experienced notable volatility amidst a flurry of news regarding tariffs and rapid changes in the geopolitical landscape. The S&P 500 is ...
As markets enter the final stretch of 2025, traders and investors are facing a high-stakes mix of macro uncertainty, sector rotation, and elevated volatility. How can you position tactically — not ...
I maintain a hold rating on QYLD, noting that high implied volatility in QQQ boosts dividend yields through larger option premiums. QYLD has underperformed the S&P 500, returning 8.3% in the past ...
Stocks have been on a roller coaster ride lately as investors struggle to decipher the impact of President Trump’s tariffs. The S&P 500 has dropped significantly since reaching an all-time high in ...
Because the Vanguard S&P 500 tracks the S&P 500 index, it's very likely to continue seeing positive total returns in the ...
India's bond market is shifting. Long-duration bonds saw a rally due to fiscal consolidation and global index inclusions. Now ...