Brian Spinelli, co-chief investment officer at Halbert Hargrove, says in a typical 60% stock/40% fixed-income portfolio, a 5% ...
Emerging markets rallied more than 30% in 2025, driven by a weaker dollar and easing rates, as investors point to structural ...
IHD's portfolio is tech-heavy, with 30% China exposure and significant weights in Taiwan and India. Read why IHD CEF is a ...
Stocks in emerging markets seem untroubled by geopolitical risk in Venezuela, at least so far, even on the exchange in ...
Global smartphone shipments rose 2% year-on-year in 2025, lifted by stronger demand and economic momentum in emerging markets ...
Stocks in emerging markets, including Latin America, have rallied in January to beat the U.S. stock market so far this year, ...
Emerging markets reached a clear inflection point, reversing multi-year underperformance as fundamentals, policy support and ...
Emerging-market borrowers are taking advantage of a start of the year sellers’ market, with spreads narrowing over US ...
Expanding into new markets sounds like an interesting challenge and an exciting prospect, but actually doing that requires ...
Emerging-market bonds are likely to be supported in 2026 as the securities are increasingly owned by local investors who are less exposed to currency risk and are therefore more resilient holders, ...
As highlighted by Landmark Markets, global inflation eases to around 3 percent for the new year, down from 4.2 percent in 2025, pressure on households and businesses is expected to ease. With prices ...
The market is expected to soften in 2026 amid chip shortages and rising component costs Read more at The Business Times.