Portfolio manager says he would stay ‘risk-on’

ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Hani Redha, global multi-asset portfolio manager at PineBridge Investments, says “we’ve seen fundamentals stay very resilient and in fact show signs that the lag effects of monetary policy are going to be fading as we go into next year.” Source link

The markets may be putting the stock cart ahead of the bond horse, says Cramer

ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Mad Money with Jim Cramer Mad Money’ host Jim Cramer looks at what’s causing the first market decline since the presidential election. 02:08 5 hours ago Jim Cramer Source link

Watch Tuesday’s full episode of Mad Money with Jim Cramer — November 12, 2024

ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Mad Money with Jim Cramer “Mad Money” host and former hedge fund manager, Jim Cramer, provides stock traders with all manner of investing advice. 44:08 5 hours ago Source link

Deficit ahead of Trump’s second term poses challenges, says MS CIO

ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Jim Caron, CIO of Morgan Stanley Investment Management, explains some of the economic issues on his radar ahead of a second Trump term, including the Fed’s policy path, possible jumps in bond yields and a high deficit. Source link

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