What to watch and consider now - This September, global markets have seen their biggest monthly pullback since December 2022, with the US benchmark index, the S&P500 down 4.2%, the Nasdaq 100 shed 5.2%, and Australia's benchmark index, the ASX200 is 3.6% lower (month to date). Stocks such as global chip maker giant, Nvidia are down 16%, Australia' s second biggest lithium company Allkem is down 17%...
You might think defensive, counter-cyclical sectors like health care, staples and utilities would be outperforming amid the murky macro. But after crushing it in 2022, this well-worn strategy is lagging badly YTD (chart). Instead, focus on high quality stocks. Quants define high quality stocks as those with the following fundamental attributes: - High returns on equity - Stable year-over-year earnings growth - Low financial leverage (debt) When you thi...
The$標普500指數(.SPX.US)$'s more than 21% plunge was its biggest first-half fall since 1970. Its second quarter was the worst since the first quarter of 2020. And while the S&P500 just entered in a bear market, the Nasdaq, the tech stocks symbol, has taken an even bigger hit and has plunged more than 30% since its peak last November. Key Highlights: $奈飛(NFLX.US)$: -69.88% YTD (the worst performer in the S&P). $Coinbase(COIN.US)$: -80.47% YTD. Represent...
Wells Fargo looked at 15 major asset classes and calculated which ones did the best and worst during inflationary periods since 2000. Here's the best asset to own when inflation. Oil's inflation-times rise is also more than any other major asset class the bank looked at. Oil's gain during inflationary periods is also roughly three-times higher than the average 12% rise of all 15 assets Wells Fargo studied. $美國原油基金ETF(USO.US)$a major ETF t...
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