The 60/40 portfolio is thriving, proving its resilience despite market volatility. Discover why a mix of stocks and bonds offers a solid investing foundation.
Volatility will likely remain until we get a better handle on the direction of inflation and interest rates. The good news is that we are closer to rate cuts than rate hikes.
The gains in the market can be attributed to several factors, but one of the drivers appears to be asset price inflation. We take a look at what it means, including the Fed's role.