How to Manage Stock Concentration Risk

A hot run for a handful of stocks can be boon to your portfolio—but also lead to overconcentration. Here's what to know about managing stock concentration risk.

The AI Glow-Up of Emerging Markets

Forget oil and copper—today’s "Emerging Markets" are being written in code, powered by elite semiconductors, and accelerated by the most aggressive AI buildout in history.

Schwab's 2026 Long-Term Capital Market Expectations

Our 2026 outlook shows fixed income continuing to benefit from elevated rates, while equities still face a narrowing edge over risk-free investments.

Box Spreads: What They Are and How to Use Them

A box spread options strategy can be a useful cash management tool when executed correctly, potentially helping traders lend or borrow money synthetically via the options market.

How Well Do You Know Market Cap?

Market capitalization is a key guidepost for anyone building a portfolio. Here's what to know.

How and Why to Use Equity Risk Premium

The equity risk premium can help traders gauge market sentiment, measure stock market valuations, and compare the risk-reward trade-off in asset classes.

Is a Business Development Company Worth the Risk?

Business development company (BDC) investments are known for their attractive yields—and their risks. Here's what to know about investing in BDCs.

Using S&P 500 Put Options to Hedge a Downturn

Using S&P 500 put options for temporary downside portfolio protection when concerns over an event-driven sell-off are elevated.

How to Hedge in a Volatile Market

Options hedging strategies allow investors to insure against market risk, although this protection comes at a cost. Find out how to hedge with options.

Bonds vs. Bond Funds: Which Is Right for You?

Not sure which to choose? Here are some things to consider about individual bonds vs. bond funds.