The latest market news from our partners at Morningstar
Markets Brief: Echoes of 1999 in the Latest AI Stock Rally?
Plus, why bonds are selling off, and what to watch when Nvidia reports.
3 Scenarios for Where Oil Prices Go from Here
Behind the daily volatility, the ongoing oil supply shortage may be causing a deeper structural shift that will keep oil expensive for longer.
Investor Focus: FTSE 100 vs FTSE 250, AI Stock Opportunities, and Why UK Bond Yields Are Rising
Wrapping up our coverage of the markets and the week.
How Portfolio Diversification Works in Inflationary Periods
Some asset classes tend to fare better than others when inflation is higher than average.
Which Asset Types Have Held Up Best in US Recessions?
Stocks have been unreliable, but one asset class stood out across every recessionary period we examined.
UK Bond Yields Hit 1998 High as Keir Starmer Faces Resignation Calls
Gilt yields surge past 5% and the FTSE 100 falls as investors price in political instability and a potential shift in fiscal policy.
Markets Brief: Why the US Consumer Still Matters
Plus: Cerebras' IPO, the tech stocks leading the EM rally, unicorn concentration, and the April CPI.
US Stock Market Outlook: Where to Find Value After April's Rally
Our reallocation strategy is working as intended. Opportunities remain in AI, tech, and small-caps.
AI Isn't the Boom, or the Bust, Many Expect. Here's What That Means for Investors
A landmark 2026 survey offers a more grounded roadmap for investing in an AI-driven economy.
Will Emerging-Market Pioneer Mark Mobius Be Vindicated?
Why emerging-market stocks are a good investment today.






