5 Graphs that Explain Financial Markets in 2016

4 Graphs that Explain Financial Markets in Q3

5 Graphs that Explain Financial Markets in Q2

How Investors Should Think About the Brexit Vote

The Recent Struggles of India’s Stock Market

Don’t Think About Your 401(k) in Isolation

Understanding Facebook’s Stock Restructuring

Is the Technology Sector Overvalued?

The Benefits and Drawbacks of Market Tranquility

How to Think About the Biggest Risks

The Persistence of Low Bond Yields

The Many Factors Affecting the Price of Gold

The Bright Side of Volatility

Will Brazil’s Stock Market Ever Bounce Back?

How Much Will China Affect Your Portfolio?

What History Tells Us About Stock Market Declines

How to Prepare for Volatile Markets

7 Graphs that Explain Financial Markets in 2015

This Year’s Most Disappointing Asset Class

The Consumer Discretionary Sector’s Recent Success

Political Risk Goes Global

The Pros and Cons of “Investing in What You Know”

How Rising Interest Rates Affect Bond Funds

The Recent Success of Growth Stocks

Do Commodities Deserve a Place in Your Portfolio?

The Latest Projections for the Global Economy

6 Graphs that Explain Financial Markets in Q3

Brazil’s Stock Market Struggles Continue

Do You Have the Right Amount of Cash in Your Portfolio?

Don’t Fret Too Much About the Fed

Is There Any Hope for Emerging Markets?

It’s OK to Take a Loss

How China Affects American Markets

What Google’s Restructuring Will Mean

How Long Will the Energy Sector’s Struggles Last?

Inflation Doesn’t Seem Ready for Liftoff

Greece Isn’t the Only Political Risk

4 Graphs that Explain Financial Markets in Q2

Putting the Greek Crisis in Perspective

4 Errors Killing Your 401(k) And Retirement Goals

Should You Worry About a Chinese Stock Market Bubble?

6 Common Fears And Issues Concerning Financial Security

Stressing Your Financial Goals? 6 Tips To Sleep At Night

Track Your Portfolio Wisely With 4.5 Wealth Management Tips

What’s the Matter with Utilities Stocks?

Does Your 401(k) Performance Get Enough Attention?

How to React Wisely to New Market Milestones

Blind To Your Future Net Worth? 6 Keys To Portfolio Tracking

Should You Worry About Rising Bond Yields?

4 Ways You’re Crippling Your Long-Term Financial Goals

Retire At 65? 70? Will Your Future Net Worth Be Enough?

The Implications of the UK Election

The Big Trends in the Global Economy

The Meaning of Lower Corporate Earnings

Q1 Recap: US Dollar Strength Has Widespread Effects

The Importance of Setting Goals

What Will the Fed Do with Interest Rates?

How Big Is Too Big for Apple?

Using “Asset Location” to Reduce Your Tax Bill

Should You Be Afraid of a Stock Market Crash?

How to Think Like a Long-Term Investor

What the Job Boom Means for Stocks

The Outlook for Bonds

The Lesson of the Swiss Franc Surge

It’s Not Too Late for a 2014 IRA Contribution

The Biggest Political Risks in 2015

2014 Recap: US Investments Shine While Commodities Lag

When Will the Fed Start to Raise Interest Rates?

How a Strong US Dollar Can Hurt Emerging Markets

Reducing Your Capital Gains Tax Bill

Avoiding Confirmation Bias

Apple Stock Reaches a Milestone

The Latest Twists and Turns in Japan’s Economic Battle

How Long Will Low Commodity Prices Last?

What the End of QE Will Mean

The Importance of International Diversification

How Fast Will China Grow?

Reacting to a Stock Market Decline

How to Use Dollar-Cost Averaging

Understanding the “Momentum Effect”

Q3 Recap: US Dollar Rises as Political Risk Predominates

Could Brazil Be the Next Japan and India?

The Outlook for Inflation

The Effects of Scotland’s Vote

How to Determine the Right Amount of Risk

Can Australia’s Winning Streak Continue?

Sticking to a Set Risk Level

The Outlook for High Yield Bonds

The Possibility of European Deflation

The Problem with “Chasing Performance”

How Much Should You Put Into Retirement Accounts?

The Fallout from Argentina’s Default

The Pros and Cons of MLPs

Will the New Money Market Rules Affect You?

The Effects of Innovation

How Long Can Bond Yields Stay Low?

The Key Differences between Mutual Funds and ETFs

Are Stock Valuations Too High?

Are More Share Buybacks a Good Sign?

Q2 Recap: Stocks and Bonds Both Rise as Low Volatility Reigns

Understanding Diversification

Avoiding the Low Volatility Trap

The Biggest Political Risk

The Importance of Taking Inflation into Account

The Rise of Political Risk

The Problem with Too Much Cash

Which Countries Are Your Funds Invested In?

Brazil’s Stock Market Struggles

Why Dividends Matter

The Meaning of Stock Splits

Should You Prepare for a Long Period of Slow Growth?

Meeting Your Income Needs with a Total Return Approach

Will Elections Revive India’s Economy?

The Pros and Cons of Target Date Funds

What Just Happened to Google’s Stock?

Q1 Recap: US Stocks Overcome Russia, China to Stay in Positive Territory

The Basics of Interest Rate Risk

Checking in on Abenomics

The Danger of Company Stock in 401(k) Accounts

Are Treasury Bonds “Risk-Free”?

What the P-E Ratio Is Saying

Different Countries, Different Sectors

Debunking January’s Predictive Power

Obama’s Retirement Reminder

Record-High Profits May Not Last

Will Emerging Markets Rebound in 2014?

The Weak Link Between Economic Growth and Market Returns

The Value of “All in One Place”