Video: Three reasons Canadian investors should care about U.S. debt

Video: Three reasons Canadian investors should care about U.S. debt

July 03, 2024 |RBC Wealth Management

Find out three ways U.S. debt can affect Canada.

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Video: What can investors expect for the rest of 2024?

Video: What can investors expect for the rest of 2024?

July 03, 2024 |RBC Wealth Management

Find out what’s in store for equity markets, bonds and more.

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U.S. debt dilemma No quick fixes and no catastrophes

U.S. debt dilemma: No quick fixes and no catastrophes

June 27, 2024 |Atul Bhatia, CFA

The federal government’s debt has doubled since 2015 – and shows no signs of turning around.

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Ansari & Hodgins Insights - Update from the Fed and the U.S. economic data

June 14, 2024 |Trevor Hodgins

... we believe that we remain in a window of time where the range of potential U.S. economic outcomes remains wider than normal given the significant change in interest rates that occurred over the past few years...

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A&H Insights - May 31, 2024

May 31, 2024 |Ahsen & Trevor

The Ansari & Hodgins Group discuss some takeaways from the Canadian banks, the Canadian economy and its stock market performance to date.

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A&H Insights - April 19, 2024

April 19, 2024 |Ahsen & Trevor

Two developments were particularly noteworthy. The first is a significant shift in U.S. interest rate expectations due to recent inflation data. The second concerns heightened geopolitical tensions in the Middle East.

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A&H Insights - March 11, 2024

March 11, 2024 |Ahsen & Trevor

In recent months, concerns have re-emerged in the U.S. regional bank sector, with investors focused on potential losses in commercial real estate loans. These loans are disproportionately held by small to mid-size U.S. banks.

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Magnificent Seven's Outsized Impact

February 23, 2024 |Ahsen & Trevor

The “Magnificent Seven” technology-centric stocks, which make up nearly 30% of the U.S. S&P 500 index, have been crucial to driving the market’s overall earnings growth due to their sheer size and influence.

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Positioning for inflation shocks

Positioning for inflation shocks

February 16, 2024 |Sean Killin

Geopolitical tensions and policy uncertainty are driving inflation risks. We look at the potential role of fixed income in portfolio positioning.

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A&H Insights - U.S. Economy

February 13, 2024 |Ahsen & Trevor

Expectations that central banks will lower interest rates in the coming months have moderated recently. Meanwhile, the global equity market is off to a reasonably good start this year, driven once again by the U.S. market and large-cap technology

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