Weighing the Week Ahead: What Does the Brexit Vote Mean for Financial Markets?

This week’s economic calendar is a little light on data, but it packs plenty of important news. Last week I suggested that the Brexit build-up would become the dominant theme. Nothing has changed. Expect daily stories on three Brexit themes: What UK voters should do; Predictions about the result; and Consequences for financial markets. While […]

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Weighing the Week Ahead: The Fed, Brexit, and the Markets

This week’s economic calendar is back to normal, with Wednesday’s FOMC announcement the highlight. Last Friday’s trading put the Brexit effects on the front burner, so I expect two themes for the week ahead. The first few days will be all about the Fed and any hints about the pace of rate increases. After the […]

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Weighing the Week Ahead: Is Small Employment Growth Big News for Stocks?

This week’s economic calendar is the lightest in recent memory. After Monday, FedSpeak fans will be disappointed, since we are entering the quiet period before the next FOMC meeting. Like nature, pundits abhor a vacuum. To fill it they will be asking: Is the weak employment report big news for stocks? Last Week Most of […]

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Weighing the Week Ahead: What is the Risk/Reward for Stocks?

This week’s economic calendar is loaded, and packed into a holiday-shortened week. There will also be plenty of FedSpeak, encouraging the favorite game of not just reporting data, but wondering how the Fed will see it. When it comes time to put it all together, pundits will be asking: What is the risk/reward tradeoff for […]

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