With the US presidential election in the rearview mirror, US equities climbed higher in November and bond yields declined. Risk assets continue to be supported by a positive macroeconomic backdrop, solid earnings growth, and an accommodative Fed.
Discover how the Consumer Confidence Survey impacts market sentiment and economic outlook in this episode of Investment Management Foundations with Gary Quinzel.
Explore how equity markets rebounded in May 2024 amid strong corporate earnings, moderating inflation, and shifting consumer spending. Get insights on GDP trends, CPI data, and key market movements across sectors.
Explore how America's economy and household wealth have surged since 1989, with GDP more than doubling and assets skyrocketing by over 500%. Discover the key drivers behind this growth—from real estate to equities—and what it means for wealth distribution today.