U.S. GDP expected to grow 2% over the next year
Concerns over European state finances have risen sharply
Craig Fehr, Canadian market strategist for Edward Jones, says despite the positive signs of economic recovery, risks for potential short-term pullbacks remain in the markets. He explains how advisors can help clients safeguard their portfolios. He spoke at the TMX Broadcast Centre in Toronto.
Bullish sentiment on crude oil wanes
Market turbulence could return; volatility rising
There is a potential for more firms to beat the street’s increasingly beaten-down expectations
Rohit Sehgal, chief investment strategist for Dynamic Funds and portfolio manager for Dynamic Power Canadian Growth Fund, explains why his fund shifted its weightings from the Canadian resource sector to U.S. information technology and consumer discretionary shares. He spoke at the TMX Broadcast Centre in Toronto.
Strengthening of the U.S. dollar versus will be a headwind for commodity prices and resource stocks
Strong majority of investment managers expect macro economic issues to continue to influence decision-making process
The pros and cons for income-seeking clients