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Recession or soft landing? That’s the big question. Amid the uncertainty framing the investment picture, we explore how to position portfolios.
As markets shrug off soaring U.S. debt, we unpack the debt dilemma and argue that positioning portfolios for a debt crisis can lead to subpar returns.
As equity investors face continuing challenges, an elevated bond yield environment has changed the equation.
The stock market faces more crosscurrents than usual, while the bond market could deliver strong returns.
While there are select opportunities in Canadian equities, the bond market looks the most attractive in years.
Stagflation risks and a likely general election suggest a volatile environment in 2024.