Posts Tagged ‘risk management’
A New Quarter, A New Theme Emerges
For the first half of 2023, we’ve seen the dominant performance of the mega-caps. But the charts reveal a potential change is on the horizon.
Read MoreUnderstanding Risk-Adjusted Returns
Investments have a trade-off between potential rewards and risks. It’s crucial to assess the risk-reward of an investment to make decisions.
Read MoreYou’re Still the One
Bogged down by endless data? Let’s focus on one chart to ease the data overload: The U.S. Dollar. Here’s why we’re looking at it right now.
Read MoreThe One Chart I’m Watching (You Should Too)
We live in a world where the cost of money has an impact on practically everything. And the cost of money is again rising.
Read MoreWhat This 100-Year-Old Theory Can Tell Us About Today’s Market
Charles Dow’s investment theory has been around for a century, but it’s still relevant in today’s technology-driven markets.
Read MoreA 2023 Mid-Year Recap & Outlook
This week marks both the end of the quarter and the mid-year mark for the financial markets. Let’s see where we may be heading.
Read MoreRelative Strength Update: Nasdaq On Track for the Best First Half Ever
With less than a week left, the Nasdaq 100 is on track for the best first half EVER. Let’s take a look at the charts that matter right now.
Read MoreBoost Your Portfolio with Data-Driven Insights
Systematic investment strategies are an exciting intersection of academia and practicality within the investment space.
Read MoreThe Research Behind the Returns
Some of the world’s best-performing hedge funds use systematic approaches. The research backs rules-based investing.
Read MoreIt’s an Important Anniversary for the Bulls
Despite scary headlines and concerns about inflation, the Fed, and recession, sectors that performed poorly in 2022 have shown resilience.
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