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Deal or No Deal? Assessing a Bare Bones Fiscal Plan
by
Russ Koesterich
of
iShares Blog
,
1/2/13
A grand bargain in fiscal cliff negotiations remains elusive, but a bare bones deal seems likely. Russ K explains what that means for the economy and investors.
With German Growth Slowing, Time to Take Some Profits?
by
Russ Koesterich
of
iShares Blog
,
12/19/12
Overweighting Germany has made a great deal of sense this year, but now Russ gives 3 reasons why it may be time to take some profit and revert to a neutral position.
Fiscal Cliff Deadlines Draw Near
by
Russ Koesterich
of
BlackRock
,
12/17/12
In addition to the seemingly never-ending focus on the fiscal cliff, markets turned their attention to last week's Federal reserve meeting and the corresponding announcement of the central bank's continuation of its bond-purchase program. Following a very brief rally after the announcement, however, stock prices fell and ended the week marginally lower. For the week, the Dow Jones industrial average declined 0.2% to 13,135, the S&P 500 index fell 0.3% to 1,413 and the NASDAQ composite dropped 0.2% to 2,971.
The Cost of Viewing the US as a Safe Haven
by
Russ Koesterich
of
iShares Blog
,
12/15/12
Since exiting the recession in mid-2009, US stocks have significantly outperformed international markets. But can the United States still be viewed as a safe port in a storm? Russ K explains why it might be time for investors to consider raising their allocation to international stocks.
3 Potential Scenarios for 2013
by
Russ Koesterich
of
iShares Blog
,
12/13/12
Despite getting lucky in 2012, many of the major risks that economies and markets faced this year remain. With the current environment in mind, Russ K shares his 3 potential scenarios for 2013 along with potential investment strategies for each.
Jobs Growth, Cliff Negotiations Continue Slow Pace
by
Russ Koesterich
of
iShares Blog
,
12/12/12
As Russ K has said in the past, the danger posed by the fiscal cliff is not solely whether we go over the side or not it also matters what shape our economy is in before the plunge. Last week's jobs report may have seemed like good news for the latter, but unfortunately a closer look at the numbers revealed a mixed bag.
3 Implications of a Fiscal Cliff Tax Hike
by
Russ Koesterich
of
iShares Blog
,
12/7/12
From the outside, its hard to find much evidence that Washington is getting closer to a fiscal cliff deal. Perhaps there is more going on behind the scenes than the headlines suggest, but as of today it is hard to find much evidence that the odds of a deal have risen. As the potential for fiscal drag rises, it is worth reiterating why this is so dangerous. From my perspective, the biggest risk to the economy, and to financial markets, comes from the tax side of the equation.
Waiting for Signs on the Fiscal Cliff and From the Fed
by
Russ Koesterich
of
iShares Blog
,
12/5/12
Investors are stuck between a rock and a hard place: Theyre trying to plan for the end of 2012, while also looking ahead to 2013. Its being reflected in the questions Im getting from clients right now, who are worried both about the fiscal cliff and the outlook for interest rates in 2013. As we saw last week, the markets are focused on every utterance out of Washington on the fiscal cliff. For better or worse, this is unlikely to change until we have a deal. And in terms of getting to one, the truth is we did not see much progress last week.
3 Reasons to Hold Off on Holiday Sales Celebrations
by
Russ Koesterich
of
iShares Blog
,
11/30/12
Is the US consumer saying goodbye to the Great Recession and hello to a heady holiday season? Initial holiday sales results may paint a rosy picture, but Russ K explains why investors shouldn't be prematurely uncorking the New Year's champagne.
The Calm Before the Storm?
by
Russ Koesterich
of
iShares Blog
,
11/26/12
Between the US Thanksgiving holiday and a recessed Congress, there was not much news to drive the markets last week. Russ K expects that to change this week, and he explains why, in the face of potentially higher market volatility, he favors municipal bonds.
Two Portfolios Moves to Consider As Fiscal Cliff Looms
by
Russ Koesterich
of
iShares Blog
,
11/22/12
As fiscal-cliff gridlock reigns in Washington, Russ K has two portfolio moves to consider: going neutral on industrials and overweighting global technology stocks.
Favoring France: The Newest Bright Spot in Europe
by
Russ Koesterich
of
iShares Blog
,
11/20/12
Europe may be stabilizing, but it's not out of the woods yet. One bright spot on the continent? France. Russ explains why he would now overweight the country's equities.
4 Reasons Not to Taiwan On
by
Russ Koesterich
of
iShares Blog
,
11/19/12
Russ K shares four reasons hes downgrading his view of Taiwan from overweight to neutral and shares potential single country solutions he prefers instead.
3 Reasons Not to Flee Dividend Stocks
by
Russ Koesterich
of
iShares Blog
,
11/15/12
As the fiscal cliff approaches, investors are becoming wary of dividend stocks, unsettled by the potential for a near tripling of the tax on dividends. But Russ K explains why he remains comfortable with dividend paying stocks with one major exception.
Seeking Shelter from the Storm? Consider Mega Caps
by
Russ Koesterich
of
iShares Blog
,
11/13/12
Russ Koesterich discusses how mega cap stocks are attractively valued and may be more resilient to the impact of the potential fiscal cliff.
What If US Economic Growth Is Over?
by
Russ Koesterich
of
iShares Blog
,
11/12/12
A new research paper argues that investors may be grossly overestimating how fast the United States is likely to expand in the coming decades. Could this be the case? Russ K weighs in.
What If US Economic Growth Is Over?
by
Russ Koesterich
of
iShares Blog
,
11/9/12
A new research paper argues that investors may be grossly overestimating how fast the United States is likely to expand in the coming decades. Could this be the case?
With the Election Over, Get Ready for the Fiscal Cliff
by
Russ Koesterich
of
iShares Blog
,
11/9/12
Russ Koesterich discusses how the close election could translate into more gridlock on the fiscal cliff, as well as longer-term tax and entitlement reforms.
How the Election Will Affect the Fiscal Cliff
by
Russ Koesterich
of
iShares Blog
,
11/6/12
In the final hours before the election, Russ takes a look at potential outcomes and what they would mean for avoiding the fiscal cliff.
3 Reasons to Consider Russia
by
Russ Koesterich
of
iShares Blog
,
11/5/12
With US investors largely focused on domestic matters these days, it can be easy to miss potential opportunities in international investing. Here, Russ K discusses the pros and cons of one such opportunity Russian equities.
High Yield is Looking Expensive
by
Russ Koesterich
of
iShares Blog
,
11/2/12
High yield has enjoyed a rally over the last several months. Russ explains why it may be a good time to reexamine your exposure to the asset class.
US Stocks Facing a Bumpy Ride
by
Russ Koesterich
of
iShares Blog
,
10/31/12
The US stock exchanges are slated to reopen for trading on Wednesday, after Hurricane Sandy prompted the longest weather-related closure of the New York Stock Exchange since 1888. What can investors expect when trading resumes? Russ K explains.
Narrowing It Down: Single Country vs. Broad Exposure
by
Russ Koesterich
of
iShares Blog
,
10/29/12
With the number of exchange traded products continually growing (globally, there are now more than 4700 ETPs and counting), an interesting debate has arisen about whether investors should gain access to international equity markets through a fund that tracks a broad benchmark or through more granular regional or country exposures. Typically choice is a positive thing, but it's understandable that the size and scope of the ETP market can add a layer of complexity to an investor's selection process.
Going Cheap with Chinese Stocks
by
Russ Koesterich
of
iShares Blog
,
10/23/12
Inexpensive valuations and stabilizing growth make Chinese stocks a category to watch right now. Russ K explains his overweight view of the controversial country.
3 Investment Strategies for the New World
by
Russ Koesterich
of
iShares Blog
,
10/22/12
No doubt about it the investment climate has changed, and it's unlikely to change back anytime soon. Russ K gives 3 possible solutions for investors seeking to adjust to the new investment world.
Beyond Borders: Currency Considerations for Investing
by
Russ Koesterich
of
iShares Blog
,
10/19/12
As more international assets are finding their way into investment portfolios, it's important for investors to recognize the effect that currency exposure may have on their portfolios.
As Global Growth Falters, Consider Emerging Markets
by
Russ Koesterich
of
iShares Blog
,
10/18/12
Global growth this year is forecast to lag that of both 2011 and 2010, and the outlook for 2013 isn't much better. These sobering forecasts are bolstering Russ K's view that investors should consider being overweight emerging market stocks.
The New Investment World is Not Near, It's Here
by
Russ Koesterich
of
iShares Blog
,
10/15/12
The recent pace and magnitude of economic change has left many investors disoriented, to say the least. Russ K explains why this new environment is unlikely to change any time soon, which may have implications for investors' current and long-term strategies.
Potential Picks for a Yield-Starved Portfolio
by
Russ Koesterich
of
iShares Blog
,
10/10/12
Yield-hungry investors today are faced with a stark choice: accept lower yield or more risk. Russ K explains why given those options, investment grade bonds may be one of the better bargains.
Dont Be Fooled By September's Market Rally
by
Russ Koesterich
of
iShares Blog
,
10/1/12
September has historically been the worst month of the year, but this time around it did not play to script. The surprising rally distracted complacent investors from signs of increasing volatility. Russ K explains.
Look Out Below! The Fiscal Cliff Steepens
by
Russ Koesterich
of
iShares Blog
,
9/28/12
Despite the recent happy headlines, most measures of US economic activity point to slower growth, which makes the threat of the fiscal cliff pushing the US economy into a recession even greater. Russ K explains how investors can prepare.
QE3: Better for Gold than the Economy?
by
Russ Koesterich
of
iShares Blog
,
9/27/12
The Fed's recent actions may not have much impact on the economy, but, as Russ explains, keeping interest rates low for an extended period may help support commodities, particularly gold.
Seeking Solace in Northern Europe
by
Russ Koesterich
of
iShares Blog
,
9/25/12
The risks in Europe are slowly improving, but it will take a long time to fully implement needed reforms. Until that happens, Russ will continue to focus his European exposure on some northern countries.
About That Swiss Neutrality
by
Russ Koesterich
of
iShares Blog
,
9/21/12
Swiss stocks still merit a positive long-term outlook but on a short term basis, Russ is changing his allocation to underweight from neutral.
Housing Recovery? Try Long Convalescence
by
Russ Koesterich
of
iShares Blog
,
9/18/12
The US Federal Reserve's decision to expand quantitative easing is dramatic, but we don't think it will have a significant impact on the US housing market. While the extra liquidity is supportive of risky assets in the very near-term, lower mortgage rates are not a game-changer for a consumer still struggling with little income growth and too much debt.
QE3: Ineffective Parachute for Fiscal Cliff
by
Russ Koesterich
of
iShares Blog
,
9/14/12
While the most likely scenario is that Washington reaches a compromise at the last minute, until then the uncertainty will keep the markets volatile and potentially drag down fourth quarter growth. Given recent comments out of Congress, there is also a non-trivial chance that we will, at least temporarily, go over the cliff. If that happens, QE3 will not be a particularly effective parachute.
Ready, Set, Fed! Weak Jobs Report Raises QE3 Odds
by
Russ Koesterich
of
iShares Blog
,
9/11/12
Russ says the US Federal Reserve Open Market Committee has more reason to consider quantitative easing at this week's meeting, after the latest payroll report suggests the US economic recovery is likely to remain weak into the end of the year.
An Upgrade of UK Equities
by
Russ Koesterich
of
iShares Blog
,
9/4/12
With UK economic growth showing signs of stabilization, the downside of investing in the region now appears more balanced versus the potential benefits. Russ believes it's time to upgrade equities from the United Kingdom to a neutral status.
Prepare Now for the Looming Fiscal Cliff
by
Russ Koesterich
of
iShares Blog
,
8/31/12
The general election season is finally upon us, and investors should begin shifting their focus from theoretical discussions about the impending fiscal cliff of potential tax hikes and spending cuts to more concrete action plans of what to do about it.
A Two-Pronged Case for Holding Gold
by
Russ Koesterich
of
iShares Blog
,
8/29/12
Gold continues to benefit from today's low interest rate monetary climate, and Russ says its diversifying effects mean the metal can be a valuable risk management tool for investors.
Russ Ks Guide to Economic Indicators (Infographic)
by
Russ Koesterich
of
iShares Blog
,
8/24/12
Pundits like to throw around a lot of numbers when trying to predict the direction of the US economy. The most popular economic indicators, however, aren't necessarily the best. Russ K explains why the economic indicators you hear most often are overrated and identifies which indicators you should use instead.
The Bullish Case for Energy Stocks
by
Russ Koesterich
of
iShares Blog
,
8/22/12
Lower crude oil inventories and less spare capacity among OPEC oil producers are just two of many reasons why I continue to be bullish on energy and energy stocks over the long term. As I've been writing about for months, oil supply remains tight by historical standards. Among the reasons I gave in a post early this summer, I expect crude prices to rebound in the long term...
Groundhog Day: Will Septembers Sell-off Repeat?
by
Russ Koesterich
of
iShares Blog
,
8/17/12
Investors might feel they are trapped in their own version of Groundhog Day this year as Russ K expects September, which has historically been the worst month of the year for capital markets, to once again fall victim to its well-documented negative seasonal bias.
Thinking about Treasuries? 2 Reasons to Think Again
by
Russ Koesterich
of
iShares Blog
,
8/13/12
The Fed will soon own more long-term Treasuries than the entire private sector. Russ explains the implications of this milestone for US long-dated debt and shows investors where to look for more attractive alternatives.
Global Telecom Stocks Lose Luster
by
Russ Koesterich
of
iShares Blog
,
8/10/12
As their prices have increased in recent months, global telecommunication stocks have started to lose some of their luster. Russ K explains why factors such as valuation and profitability have prompted him to change his view of the sector.
CASSH-ing In
by
Russ Koesterich
of
iShares Blog
,
8/8/12
Many of the large, developed markets, including the United States, are mired in excess debt and prolonged deleveraging. Russ believes that some of the smaller developed countries the ones he refers to as the CASSH countries -- are proving more resilient.
2012 Outlook: Signposts for the Second Half
by
Russ Koesterich
of
iShares Blog
,
8/5/12
Continued slow global growth or a recession? Russ offers some signs investors can watch for to help determine which scenario is likely to play out in 2012.
Mythbusting: How Elections Affect Markets
by
Russ Koesterich
of
iShares Blog
,
8/2/12
Elections do matter for the markets, but not necessarily for the reasons that investors tend to believe. Ahead of the next presidential election, Russ debunks some common myths surrounding markets and elections.
Whither Global Stocks? Be Sure to Track This Data
by
Russ Koesterich
of
iShares Blog
,
8/1/12
Sometimes, either weak economic numbers or strong economic numbers can point to a surge in US and global equities. This could be one of those weeks. Russ has his eye on two important economic reports that are being released this week, and he explains why weak data may be positive for global equities.
Days of Reckoning - The Potential Impact of the 2012 Elections on the Markets
by
Russ Koesterich
of
iShares Blog
,
7/26/12
Elections can, and often do, matter for markets, but not necessarily for the reasons investors tend to emphasize. For example, there is little historical evidence that markets perform better or worse depending on which party occupies the White House. There is also no concrete evidence that markets do better under divided government, a myth that seems to have taken hold thanks to the bull market of the 1990s.
Results 501–550 of 699 found.
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December 04, 2024 at 02:00 PM EST
- 1.0 CE credit
A Guide to Helping Clients with Succession Planning and Liquidity Events
December 10, 2024 at 11:00 AM EST
- 1.0 CE credit
2025 Market Outlook Symposium
December 11, 2024 at 02:00 PM EST
- 1.0 CE credit
Is the Mag 7 Holding Your Portfolio Back?
December 16, 2024 at 02:00 PM EST
- 1.0 CE credit
Giants of Finance: Understanding Profitability and Quality with Professor Robert Novy-Marx