Weekly Market Update – January 21, 2025
The Think 2 Retire long-term risk indicator, T2R 1.0, and our shorter-term risk indicator, T2R 2.0, remain positive. Therefore, we suggest continuing to hold our current allocations. See your Think 2 Retire account on the website for the current newsletter and model allocation details.
Read MoreWeekly Market Update – January 13, 2025
Despite last week’s volatility, our long-term risk indicator, T2R 1.0, and our shorter-term risk indicator, T2R 2.0, remain positive. Therefore, we suggest continuing to hold our current allocations. See your Think 2 Retire account on the website for the current newsletter and model allocation details.
Read MoreWeekly Market Update – January 6, 2025
Our long-term risk indicator, T2R 1.0, and our shorter-term risk indicator, T2R 2.0, remain positive. Therefore, we suggest continuing to hold our current allocations. See your Think 2 Retire account on the website for the current newsletter and model allocation details.
Read MoreWeekly Market Update – December 23, 2024
Last week was marked by significant movements in major stock indices and the bond market, driven by a combination of economic data releases, political developments, and corporate news.
Read MoreWeekly Market Update – December 16, 2024
The past week was marked by a mix of economic, political, and financial events that influenced the performance of US Stock and bond markets.
Read MoreWeekly Market Update – December 9, 2024
The past week saw significant movements in major U.S. stock indices and the bond market, driven by economic data releases, political developments, and corporate earnings reports.
Read MoreWeekly Market Update – December 2, 2024
In the past week, we saw significant movements in major U.S. stock indices and the bond market, driven by a combination of economic data releases, political developments, and corporate earnings reports.
Read MoreWeekly Market Update – November 25, 2024
Last week, the stock and bond markets experienced notable fluctuations due to various economic, political, and financial events.
Read MoreWeekly Market Update – November 18, 2024
Last week, investors witnessed significant volatility in the U.S. financial markets, driven by political developments, economic data releases, and shifting investor sentiment. Let’s examine the key events and their impact on major indices and the bond market.
Read MoreWeekly Market Update – November 12, 2024
Last week the markets were marked by significant economic, political, and financial events that had a profound impact on major U.S. stock indices and the bond market. The most notable events were the U.S. presidential election and the Federal Reserve’s interest rate decision, both of which contributed to record-breaking performances in the stock market.
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