Recent News
Weekly Market Commentary

Refinancing ZIRP | Weekly Market Commentary | February 24, 2025
The U.S. Treasury market is entering a significant transition period in 2025, facing both structural adjustments and all-too-familiar policy discussions. As the Federal Reserve’s (Fed) shift from a zero interest-rate policy (ZIRP) coincides with a substantial $7.5 trillion refinancing cycle, markets are also preparing for another round of debt ceiling negotiations.

Tariffs Ignite a Metals Melt-Up | Weekly Market Commentary | February 18, 2025
Stocks continued to climb the wall of worry last week and shrugged off tariff headlines, inflation volatility, and signs of a slowdown in retail spending.
Global Portfolio Strategy

Global Portfolio Strategy | July 15, 2021
See LPL Research’s latest monthly market outlook in the July 2021 Global Portfolio Strategy.

Global Portfolio Strategy | June 9, 2021
We expect stocks to continue to grow into their valuations on the back of tremendous earnings momentum as the economy fully reopens, vaccine distribution…
Client Letter

Client Letter | Stocks’ Road Ahead | February 3, 2022
LPL Research shares why stock’s recent volatility may not be cause for concern just yet.

Client Letter | Moving Forward After a Pullback | January 24, 2022
LPL Research shares why they think the market has pulled back and what we may see in the future.
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