Government Policy

Understand how policy decisions coming out of Washington may impact financial markets and your investments.

Navigating the 'Funky' Market Environment (With Helene Meisler)

Longtime market technician Helene Meisler joins Liz Ann Sonders to explore market trends, sentiment, and volatility, offering insights on the evolving investing landscape.

Why International and Why Now

The shifting change in market leadership to international outperformance may call for a portfolio review to assess overexposure risks.

Should the Fed Focus on Inflation or Unemployment?

Kathy Jones and Collin Martin break down the Fed's current predicament and what the future might hold for interest rates.

The State of Rates and the Bond Market During Uncertainty

Collin Martin and Kathy Jones dissect the current environment for different types of bonds and bond investors.

Weak Dollar Is No Silver Lining as Firms Face Tariffs

The U.S. dollar hit 3-year lows after tariff "liberation day," and a weak greenback often aids U.S. companies with big overseas sales. That may not happen now as the trade war simmers.

Tariff Two-Step: What to Watch as Earnings Begin

Earnings season begins with companies adjusting on the fly to tariffs. This could give investors insight into strategies firms are taking and how businesses might be affected.

Making Sense of Recent Market Volatility

After a turbulent few days in the market, what strategies should investors consider?

Trends in the Labor Market & More Tariffs (With Nela Richardson)

Nela Richardson of ADP Research breaks down the labor market data.

Considering the Risk of Stagflation & Uncertainty

Liz Ann Sonders and Kathy Jones analyze the recent Fed meeting and the outlook for potential stagflation.

Market Correction: What Does It Mean?

What does a "correction" mean, what's likely to happen next, and what can investors do now?