Dollar Strength vs. U.S. Equity Returns: What Retail Investors Should Track

As the U.S. dollar faces a choppy 2026 with predicted early weakness followed by recovery, retail investors must monitor its interplay with U.S. equity returns. Key insights from Morgan Stanley, JPMorgan, and others reveal actionable strategies.
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U.S. Election Cycles: Navigating Sector Rotation and Risk Assets for Investors

U.S. presidential and midterm elections historically affect stock market returns, volatility, and sector performance. This article analyzes key patterns in sector rotation and risk assets during election cycles.
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Dollar Strength vs. U.S. Equity Returns: What Retail Investors Should Track in 2026

The U.S. dollar's weakness in 2025 and early 2026 is reshaping equity returns for American investors. Discover the critical relationship between currency movements and stock performance, and learn which indicators matter most for your portfolio.
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