The biggest mistake the Fed can make right now
What to expect from today's CPI data... Why the Fed must get inflation under control... And why cutting rates would be a massive mistake. Plus, why the next 12 months will be tough on homebuilders.
What to expect from today's CPI data... Why the Fed must get inflation under control... And why cutting rates would be a massive mistake. Plus, why the next 12 months will be tough on homebuilders.
Are rate hikes behind us? ... Why the Fed should be worried about regional banks... Our oil reserves are getting depleted... The short report against one Dollar Stock Club holding... And we’re "joining the dark side" with this bank stock.
Banks are lying to us about the state of the banking crisis... JPMorgan's sweetheart deal... And how the Fed's bank bailouts will cause more pain. Plus, why a pause in rate hikes won't save us.
Why McDonald's and PepsiCo are trading near 52-week highs... We're in for more rate hikes... Earnings are in for Alphabet and Microsoft... And is the U.K. government punishing Microsoft as revenge against the U.S.?
The current market environment gives us the opportunity to collect a growing yield on short-term bonds... while taking much less risk compared to stocks or long-term bonds. Here's the simplest way to invest in them.
Why the latest rate hike won’t make a dent in inflation… And the drastic (mis)step the Fed should avoid. Plus, this week’s Dollar Stock Club pick is an industry leader set to benefit from higher interest rates.
What to expect following today's Fed meeting... Two assets that will keep rallying as the Fed tinkers with interest rates... And one mega-cap for your shopping list. Plus, why the banking crisis will last awhile.
Why there's more pain ahead for the banking sector... Are bank stocks a buy?... Why the bailout should terrify you... And one financial stock being unfairly punished. Plus, will the Fed hike interest rates next week?
Why Silicon Valley Bank failed—and why the government bailed it out... Why the Fed is f***ed—and what to expect from next week’s meeting... And the "must-have" portfolio protection for this market.
A recession is coming... and investors need to use extreme caution in this treacherous market. Here are 3 sectors to steer clear of to avoid suffering in the long term.
How an unprecedented move by the government led to Silvergate Capital’s bankruptcy… And a new risk factor analysts must consider. Plus, 30 stocks facing serious downside risk… And why we’re betting against a company that just beat earnings.
The Fed has changed its tune on inflation... Expect inflation data to come in hot... And your favorite stocks will get crushed as a result. Plus, why kids' sports are a racket.
It's practically guaranteed we'll see a major economic decline over the next 12 months. In fact, one contrarian indicator is flashing red. But don't panic: If you're properly prepared, you can avoid a lot of the damage.
From aggressive deregulation to pro-manufacturing policies, a focus on defense, and the landmark “Big Beautiful Bill” funneling trillions into the economy, Trump’s policies are already favoring specific sectors… And companies tied into those trends stand to benefit big.
What you'll get: