Doll’s Deliberations
Markets showed narrow gains with the S&P 500 trading near all-time highs while other averages lagged. Energy led sector performance as oil prices rose on continued Strait of Hormuz disruption, but overall economic data and strong corporate earnings have so far supported risk assets. Key risks include a prolonged closure of the strait that could drain global oil reserves and push inflation higher, prompting a rapid market re-pricing. Investors should monitor developments closely and be prepared to de-risk if the situation does not resolve soon. For a copy of this week's Doll's Deliberations click on the following link May 18 [https://www.crossmarkglobal.com/category/dolls-deliberations/] or go to www.crossmarkglobal.com [http://www.crossmarkglobal.com] for additional insight and investment solutions.
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