This week on LPL Market Signals, LPL Research’s Chief Equity Strategist, Jeffrey Buchbinder, and Chief Fixed Income Strategist, Lawrence Gillum, share their latest thoughts on fixed income, including how markets are responding to th https://t.co/W4RmM8PMCA
This week’s Weekly Market Commentary discusses the shifting leadership within commodity markets and highlights agriculture as an emerging area of opportunity after years of volatility across sectors. It explores how supply constrain https://t.co/ETzIlnTG53
LPL's Weekly Market Performance for the week of April 13, 2026, highlights geopolitical de-escalation, bank earnings, and bond and commodity market moves. https://t.co/qEAqmTuXug
LPL Research discusses its recently updated study of the effectiveness of active management across asset classes, as well as implications for portfolios. https://t.co/xfW8aG0dmR
LPL's Weekly Market Performance for the week of May 18, 2026, highlights tech earnings, economic data, and the Treasury Quarterly Refunding Announcement. https://t.co/1U9HnVDSim
This week’s Weekly Market Commentary discusses how Middle East tensions have dominated markets since late February, with ongoing uncertainty offset by diplomatic progress that has supported equities while risks remain reflected in f https://t.co/fYav9w3qzf
This week on LPL Market Signals, the strategists recap last week’s market response to the ongoing war in Iran, check the charts to assess technical damage, and discuss what they are watching to determine where stocks go from here. https://t.co/RrtMpGNGJo
LPL's Weekly Market Performance for the week of March 2, 2026, highlights geopolitical developments and their impact on equities, fixed income, and commodities. https://t.co/bQAc8dTOoO
This week on LPL Market Signals, Chief Equity Strategist Jeff Buchbinder and Chief Fixed Income Strategist Lawrence Gillum, discuss potential stock and bond market impacts of the airstrikes on Iran over the weekend. https://t.co/pCYoaoFo18
The recent escalation in Iran has disrupted global energy markets, but history shows markets often recover quickly once conditions stabilize. Despite near‑term volatility, economic strength, supportive fiscal policy, and easing infl https://t.co/19lloKkFHf
This week on LPL Market Signals, Jeffrey Buchbinder, Chief Equity Strategist, and Dr. Jeffrey Roach, Chief Economist, discuss implications of the Supreme Court’s tariff ruling and share LPL’s updated strategic asset allocation guida https://t.co/aF6PhYsG1o
This week's Weekly Market Commentary discusses how the Iran conflict is affecting markets, highlighting energy risks, market resilience, and what investors should watch in the weeks ahead. https://t.co/q6t437bEbh
In this week’s Market Signals podcast, Adam Turnquist, Chief Technical Strategist, and Tom Shipp, Head of Equity Research, examine the market’s return to record highs through both fundamental and technical lenses. https://t.co/Zc7ZBClhxJ
Dr. Jeffrey Roach, Chief Economist, examines the U.S. dollar’s safe‑haven strength amid geopolitical tensions, the economy’s reduced reliance on oil, and how AI-driven innovation is reshaping employment dynamics. https://t.co/RovfrH99xq
LPL Research explores how continuation funds work, why private equity managers use them, key risks for investors, and how these structures impact public markets. https://t.co/gaRu4BOejZ
LPL Research highlights how market volatility has improved valuations and why resilient earnings and fundamentals are creating long‑term investment opportunities. https://t.co/pOAT8oKfrf