In 2023, market volatility has fallen dramatically. In this graphic, we show how it compares to historical trends.
Europe's energy crisis could last well into 2023. Here's how the energy shock is causing ripple effects across the broader economy.
Unlike the last two downturns, stock buybacks could hit a record $1.3T in 2022. We chart their growth over the last two decades.
Energy prices have been extremely volatile in 2022. Which countries are seeing the highest prices in the world?
We show the Financial Conditions Index, which breaks down the state of U.S. financial markets based on 105 indicators.
This infographic explores questions on today’s inflationary environment as the economy faces persistent price pressures.
Financial markets are facing headwinds against a changing economic backdrop. Here is the macroeconomic risk map in 2022.
Interest rate hikes and quantitative tightening are reducing liquidity and raising volatility in markets, but why exactly does this happen?
In this infographic, we show the key differences between stagflation, inflation, and deflation and how they impact the economy and investors.
Despite market uncertainty, U.S. unemployment is low, at 3.7%. In this infographic, we show unemployment and recessions since 1948.
This infographic looks at the key fundamentals and market sectors that have been historically resilient during down markets.